211129 Budget Council Meeting AgendaThe Corporation of the Town of Tillsonburg
Council Budget Meeting
AGENDA
Monday, November 29, 2021
4:00 PM
Electronic Meeting
1.Call to Order
2.Adoption of Agenda
Proposed Resolution #1
Moved By: ________________
Seconded By: ________________
THAT the Agenda as prepared for the Council Budget meeting of Monday, November 29,
2021, be approved.
3.Moment of Silence
4.Disclosures of Pecuniary Interest and the General Nature Thereof
5.Adoption of Council Minutes of Previous Meeting
6.Finance
Opening remarks by Interim Director of Finance/Treasurer. Presentation to be reviewed.
Review of Business Plans, Capital and Operating summaries by Department to follow.
6.1.2022 Financial Plan
6.2.Office of the CAO
6.3.Financial Services
6.4.Corporate Services
6.5.Operations and Development Services
6.6.Fire and Rescue Services
6.7.Economic Development and Marketing
6.8.Recreation, Culture and Parks
6.9.Capital Budget Overview
6.10.Long Term Debt Overview
6.11.PSAB Reconciliation
7.Motions/Notice of Motions
8.Confirm Proceedings By-law
Proposed Resolution #2
Moved By: ________________
Seconded By: ________________
THAT By-Law 2021-120, to Confirm the Proceedings of the Council meeting held on
November 29, 2021, be read for a first, second, third and final reading and that the Mayor
and the Clerk be and are hereby authorized to sign the same, and place the corporate seal
thereunto.
9.Adjournment
Proposed Resolution #3
Moved By: ________________
Seconded By: ________________
THAT the Council Budget meeting of Monday, November 29, 2021 be adjourned at __ p.m.
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TOWN OF
TILLSONBURG
2022 Budget
Overview
November 29 , 2021
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General Budget Information
The Operating and Capital budgets outline how the Town of
Tillsonburg will use its finances to deliver essential services to
its residents.The Operating budget covers day-to-day
expenses, while the Capital budget covers major
infrastructure requirements.
In accordance with the Municipal Act, the Town is required to
implement a balanced budget and cannot plan for a deficit.
The budget is balanced when all budgeted revenues equal
budgeted expenditures. Any budgeted shortfalls in revenues
over expenditures form part of the tax levy.
2022 Budget Overview
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2021 Economic Challenges
The Town of Tillsonburg is facing challenges common to many municipalities including:
•COVID -19 pressures relating to decreased revenues and increased expenditures including duration uncertainty.
•Inconsistent financial support / late funding notifications from upper levels of government.
•MPAC property reassessment delay due to COVID -19, now for years 2021, 2022 and 2023; no reassessment phase-in growth to be realized.
•Increased legislation with respect to asset management and resulting investments in infrastructure
•Historically low lending rates as a result of the ongoing pandemic, but while still relatively low, rates have increased in the last year, and are expected to continue.
2022 Budget Overview
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2022 Budget Assumptions
•Maintain existing levels of service
•Maintain tax supported debt ($1.432M paid down in 2021,
and $1.416M in draft 2022 budget)
•Six month COVID-19 impact (January-June $715K)
•New development assessment growth (2020 $369K, 2021
$379K); impact in reducing tax rates
•OCIF funding estimated at $200K (2020 $221K, 2021 $220K).
New redesigned program for 2022, with no confirmed
amounts to date.
2022 Budget Overview
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2021 Proposed Operating Budget
•Consideration and adjustments (savings and pressures) have been
made across all departments to estimate a 2022 COVID-19 impact
over a six month period (January –June), similar to 2021 budget.
o The pandemic pressures (lost revenue/increased
cleaning/PPE) 6-mos unfavourable impact estimated at
$734,886.
•An emphasis has been placed on maintaining our existing
reserves where possible; 1 draw budgeted from the Tax Rate
Stabilization has been applied (Finance $33K one-time item), but
almost full use of the reserve presented in Options 2-4.
2022 Budget Overview
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2022 Operating Budget Pressures
2022 Budget Overview
Non-Discretionary
Six Months of COVID-19 Impact $ 715,759 4.2 %
Payroll Deductions (OMERS, CPP, EI, WSIB)$ 96,800 0.6 %
Benefits (Health, Dental & Life)$ 75,300 0.4 %
Prior-year carry-over (Tax w/o, Safe Restart, Reserve)$ 602,000 3.6 %
Heat, Light & Water -HLW (est. 4% increase) $ 32,000 0.2 %
Insurance Deductible $ 50,000 0.3 %
Insurance (est. 17% increase)$ 70,200 0.4 %
Discretionary
Cost of Living Adjustment -COLA (2.0%)$ 125,000 0.7 %
New Employee Requests –FTE (2.75) ($135K covered
by Building budget, $118,600 net)$ 253,800 0.7 %
TOTAL $ 2,020,859
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Additional discretionary items identified for Council consideration /
deliberation for reduction (addition) include:
2022 Proposed Operating Budget
2022 Budget Overview
Budgeted Cost % Impact
External Community Grants $ 51,500 0.3 %
Community Events (Turtlefest , Santa Parade, etc.)31,500 0.2 %
Doctor Recruitments 70,000 0.4 %
BIA Façade Improvement 35,000 0.2 %
BIA Downtown Beautification 14,400 0.1 %
Other options provided in the budget binders listed as Options 2-4
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•Capital program of $9.88M, of which $2.98M is
taxation.
•Historically, the Phase-In assessment dollars have been
utilized annually as the Capital budget base growth.
The pandemic has affected MPAC’s ability to conduct
reassessments in 2020, and delayed again for 2022 and
2023. These Phase-In assessment dollars for the 3 years
of delay combined would have otherwise been realized
as a revenue source; historically $330,000/year.
•The use of tax-supported debt is higher at $1.416M.
2021 Proposed Capital Budget
2022 Budget Overview
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2022 Consolidated Budget
2022 Budget Overview
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Proposed 2022 Tax Levy Requirement
2022 Budget Overview
Public Works, 20.38%
Admin & I.T., 10.70%
Financial Services, (0.03%)
Asset Management, 15.52%
Cemetery, 0.90% Development &
Communications, (0.19%)
Economic
Development,
2.06% Airport, (0.01%)
Transportation, 0.94%
Protection/By-law, 1.38%
Building Dept., 0.00%
Parks, Recreation & Culture,
27.22%
Police, 16.84%
Fire, 7.39%
Proposed levy requirement by department
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Sources of Revenue
•Taxation
•User Fees
•Grants
•Reserves & Trusts
•Debt Financing (user paid / taxation / operational savings)
•Other
o Special Levy
o Interest
o Donations
2022 Budget Overview
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Sources of Revenue2022 Proposed Consolidated Budget
2022 Budget Overview
Taxation
55%
User Charges
17%
Grants &
Subsidies
18%
Debt Proceeds
4%
Reserves
4%
Special levy
1%
Other Revenue
1%
Sources of Revenue
2022 -Sources of Revenue
Percentage Dollars
Taxation 55.1%$ 19,240,318
User Charges 16.7%$ 5,834,400
Grants & Subsidies 17.5%$ 6,110,427
Debt Proceeds 4.1%$ 1,416,000
Reserves 4.2%$ 1,464,131
Special levy 1.1%$ 401,600
Other Revenue 1.3%$ 469,100
Total 100%$ 34,935,976
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Sources of RevenueUser Fees
•Many services are provided by the Town through taxation dollars, however several services have a fee attached that fully or partially recovers the cost of providing that service (e.g. permits, licensing, recreation programs, transfer station, etc.)
•The Town has a complete Rates & Fees By-Law that details these charges; the 2022 proposed fee schedule will be presented to Council at the December 13 regular meeting.
•The Town also provides services to other organizations such as the County of Oxford for water and wastewater operations and Tillsonburg Hydro for hydro operations.
2022 Budget Overview
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Sources of RevenueGrants
•The Town receives several million dollars annually in grant funding from upper orders of government ($6.1M 2022). Some of these are from Gas Tax both Federal and Provincial, Partnership Funds for downloaded services, policing initiatives, transit, economic development, recreation, etc.
•Grants often can only be used for specific purposes and require reporting to ensure the costs are eligible for funding.
•Town staff remain diligent in reviewing both new and existing grant opportunities in order to ensure full advantage of available funding assistance.
2022 Budget Overview
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Sources of RevenueDebt Financing
•Municipal debt is not a revenue tool however it can be an
important financing tool.
•Municipalities can only incur long-term debt for capital
projects.
•All debentures are applied through coordination with our
upper tier, Oxford County, and usually funded via
Infrastructure Ontario (i.e. the Province).
•The Province, through the Ministry of Affairs and Housing,
establishes debenture limits for all municipalities on an
annual basis; known as the Annual Repayment Limit (ARL).
2022 Budget Overview
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Three different types:
Debt Supported by Users
•Users are defined such as THI and the County which pay for their fleet, aquatic users pay a fee towards capital costs of pools, fire communication customers pay for equipment required for their service, and residents pay for certain assets funded through a debenture that is repaid through the tax bill.
Debt Supported by Operational Savings
•Certain capital projects create savings that allow the Town to repay debt incurred to fund these projects.
Debt Supported by Taxation
•These are funds borrowed to fund the activities of the Town for capital projects. Subsequent principal and interest payments are included in the Operating budget funded by taxation.
2022 Budget Overview
Sources of RevenueDebt Financing
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There is currently $13,922,254 in total cumulative issued debt; $9,646,520 of
which is tax supported as indicated in the below summary. Specific details can
be found within Tab 11 of the 2022 budget binders.
Please note that this total excludes Council approved debt of:
o $2,438,000 in committed debt but not issued –User pay
o $1,188,000 in committed debt but not issued –Tax supported.
The Town has paid down $1,432,900 of debt principal over the course of 2021.
Sources of RevenueDebt Financing
2022 Budget Overview
Type Total Current Debt
Tax Supported $ 9,646,520
Operational Savings $ 3,037,250
User Pay $ 1,238,484
Total Outstanding Debt $ 13,922,254
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Sources of Revenue -Reserves & TrustsUnrestricted Reserves
2022 Budget Overview
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Sources of Revenue -Reserves & TrustsRestricted Reserves
2022 Budget Overview
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The Town is responsible for the oversight of various Trust Accounts that
holds money which can be used in the operation of the Town or for
distribution by the Trustees often per the specific direction(s) of the
donor(s).
Sources of RevenueReserves & Trusts
2022 Budget Overview
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Sources of RevenueTaxation Terminology
Amount to be Raised from Taxation (Tax Levy) is the amount needed to be collected from taxpayers to fund the Operating and Capital programs.
Property Tax Class is the classification(s) of a property (i.e. residential, commercial, industrial, etc.).
Tax Ratio expresses the burden of tax liability against each respective tax class as annually established by our upper tier, the County of Oxford.
Total Weighted Assessment is the sum of all property class assessments multiplied against their established ratio. Calculated as:
Property Class Assessment Value x Property Class Ratio
Residential Tax Rate is the rate that is used to collect the required funds based on the assessed value of the property. Calculated as:
Amount to be Raised from Taxation ÷ Total Weighted Assessment
2022 Budget Overview
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Sources of Revenue Taxation
Taxation = Assessment Value x Tax Rate
•Assessment value is determined through a service contract with
the Municipal Property Assessment Corporation (MPAC).
•Assessments are based on market value and are adjusted every
four years with a phase in of increases over four years (i.e. 2016
valuation is phased in 2017 through 2020). Reductions in value
are taken in the first year.
* There are no phase-in dollars in 2021, 2022 and 2023 since the pandemic
created delays for MPAC in performing their reassessment evaluations.
•Annually through the budget process, the municipality calculates
the needs for taxation and adjusts the levy accordingly.
2022 Budget Overview
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Assessment Growth
2022 Budget Overview
County Town Total New
New Assmt Revenue Revenue Revenue
2021 Assessment Growth 50,819,186 2.78%194,509 2.25%379,590 2.24%574,098 2.24%
2020 Assessment Growth 40,529,500 2.26%182,351 2.15%369,378 2.14%551,729 2.14%
2019 Assessment Growth 42,554,410 2.48%168,295 2.06%330,299 2.01%498,594 2.03%
2018 Assessment Growth 31,683,434 1.92%139,162 1.77%275,400 1.78%414,562 1.77%
2018-2021 YTD additional revenue from assessment growth 1,354,667
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Sources of Revenue Property Tax Bill
The Town’s tax levy represents a portion of a residents’
property tax bill.
Total property tax payable also includes smaller allowances
which includes:
Upper Tier (County) Tax Levy (draft 2022 budget 4.1%)
Library Levy (draft 2022 budget 1.7%)
Sewer Levy (County eliminated effective January 1, 2021)
Education Levy (not yet released; historical 3-yr avg decrease -5%)
2022 Budget Overview
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Tax Levy and Rate Options
2022 Budget Overview
Starting Point- Nov 11 2022
Binder Document 2021 2022 Variance Variance
Budget Budget $%
Consolidated Budget Requirement 16,950,400 19,240,400 2,290,000 13.51%Option # 1 Levy Change 2,290,000$ 139.07$ Impact to Avg RT
Total Operating Budget 14,898,500 16,254,700 1,356,200 9.10%RT Tax Rate 0.00881399 7.43%Tax Rate Change
Total Asset Management 2,051,900 2,985,700 933,800 45.51%
Revised with Savings
Consolidated Budget Requirement 16,950,400 18,757,400 1,807,000 10.66%Option # 2 Levy Change 1,807,000$ 88.62$ Impact to Avg RT
Total Operating Budget 14,898,500 15,786,700 888,200 5.96%RT Tax Rate 0.00859273 4.74%Tax Rate Change
Total Asset Management 2,051,900 2,970,700 918,800 44.78%
Revised with Savings
Consolidated Budget Requirement 16,950,400 18,257,100 1,306,700 7.71%Option # 3 Levy Change 1,306,700$ 32.55$ Impact to Avg RT
Total Operating Budget 14,898,500 15,786,700 888,200 5.96%RT Tax Rate 0.00836355 1.94%Tax Rate Change
Total Asset Management 2,051,900 2,470,400 418,500 20.40%
Revised with Savings
Consolidated Budget Requirement 16,950,400 17,783,600 833,200 4.92%Option # 4 Levy Change 833,200$ (13.09)$ Impact to Avg RT
Total Operating Budget 14,898,500 15,731,700 833,200 5.59%RT Tax Rate 0.00814664 -0.70%Tax Rate Change
Total Asset Management 2,051,900 2,051,900 0 0.00%
Tax rate %
change
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Sources of Revenue Proposed Residential Town Tax Levy Impact
2022 Budget Overview
Median Residential Assessment = $228,000
2022 Proposed Taxation = $228,000 x 0.00881399 = $2,010
Tax Rate 7.43% = $139.07 median property
Taxation = Assessment Value x Tax Rate
CPI Ontario
All-items All-items
12-mos 6-mos
average average
2.76%3.96%
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Recommended Budget Process
Questions, Deliberations, Resolutions, Approval
•Business Plans, Capital, and Operating budget presentation/review, by department.
o November 29th –Overview presentation, Business Plan presentations & Dept summary overview
o December 6th 9 AM and December 16th at 4 PM Council budget meetings
•Council to ask any/all questions as we proceed through the departmental budget meetings.
•White papers containing additional information on FTE requests already included in the binder.
•All budget-related changes requested through resolutions throughout the Dec 6th and 16th budget meetings.
•External Group Grant Requests
o January 17th (6pm-9pm, all speakers available at 6 pm)
•Motion to approve Capital/Operating budget to regular Council meeting agenda.
•January 27th regular Council meeting
2022 Budget Overview
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2021 2022 Variance Variance CBelongs to
Budget Budget $%
Budget Requirements
Council 380,300 491,500 111,200 29.24%One-time strat plan items? $195KCorp Ser
Financial Services (183,900) (6,000) 177,900 (96.74%)No $150K Stab Resv, no $92K Safe RestartFinance
Corporate Services 1,760,600 1,688,500 (72,100) (4.10%)One-time items? ReviewCorp Ser
Customer Services (119,600) (121,000) (1,400) 1.17%Corp Ser
Fleet Services (26,600) 353,600 380,200 (1,429.32%)Confirm, new lease arrangements?Operations
Tillsonburg Hydro (140,000) (140,000)0.00%RevenueTHI
Enterprise Services (200,000) (200,000)0.00%RevenueTHI
Fire Services 1,432,600 1,474,500 41,900 2.92%ConfirmFire
Police Services 3,167,500 3,239,200 71,700 2.26%Outside Board, PS ActPolice
Protection/Bylaw 240,500 265,300 24,800 10.31%ReviewOperations
Building Operations
OPS Admin 244,300 261,000 16,700 6.84%Operations
Engineering 381,500 633,200 251,700 65.98%ConfirmOperations
Public Works 4,392,900 4,812,400 419,500 9.55%Review/ConfirmOperations
Parking Operations
Airport (4,000) (2,500) 1,500 (37.50%)Loomex Contract $120K?Operations
Waste Management 169,200 244,500 75,300 44.50%Operations
Cemetery 211,300 173,300 (38,000) (17.98%)RCP
Parks 914,700 959,700 45,000 4.92%RCP
Community Events 92,200 92,900 700 0.76%RCP
Recreation - Programs 1,096,200 1,165,800 69,600 6.35%RCP
Recreation - Facilities 3,001,300 3,046,000 44,700 1.49%RCP
Elliott Fairbairn Centre (54,600) (46,000) 8,600 (15.75%)RCP
Museum 348,200 446,900 98,700 28.35%RCP
Transit Services 172,800 249,100 76,300 44.16%ICOperations
Development & Communication Services (30,300) (37,300) (7,000) 23.10%EcDev
Economic Development 343,300 450,800 107,500 31.31%EcDev
Municipal Taxes (640,000) (255,000) 385,000 (60.16%)Mun Taxes
Consolidated Budget Requirement 16,950,400 19,240,400 2,290,000 13.51%
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2021 2022 Variance Variance CBelongs to
Budget Budget $%
Operating Plan
Council 380,300 491,500 111,200 29.24%Corp Ser
Financial Services (183,900)(6,000) 177,900 (96.74%)Finance
Corporate Services 1,701,000 1,688,500 (12,500) (0.73%)Corp Ser
Customer Services (119,600) (121,000) (1,400) 1.17%Corp Ser
Fleet Services (26,600) 15,600 42,200 (158.65%)Operations
THI (140,000) (140,000)THI
Enterprise Services (200,000) (200,000)THI
Fire Services 1,422,600 1,422,600 0 0.00%Fire
Police Services 3,110,500 3,239,200 128,700 4.14%Police
Protection/Bylaw 240,500 265,300 24,800 10.31%Operations
Building Operations
OPS Admin 244,300 261,000 16,700 6.84%Operations
Engineering 282,500 359,000 76,500 27.08%Operations
Public Works 2,961,600 3,040,300 78,700 2.66%Operations
Parking Operations
Airport (4,000)(2,500) 1,500 (37.50%)Operations
Waste Management 169,200 244,500 75,300 44.50%Operations
Cemetery 151,300 173,300 22,000 14.54%RCP
Parks 804,700 839,700 35,000 4.35%RCP
Community Events 92,200 92,900 700 0.76%RCP
Recreation - Programs 1,086,200 1,150,800 64,600 5.95%RCP
Recreation - Facilities 2,796,300 2,846,000 49,700 1.78%RCP
Elliott Fairbairn Centre (54,600) (46,000) 8,600 (15.75%)RCP
Museum 338,200 354,000 15,800 4.67%RCP
Transit Services 172,800 181,100 8,300 4.80%Operations
Development & Communication Services (30,300) (37,300) (7,000) 23.10%EcDev
Economic Development 343,300 397,200 53,900 15.70%EcDev
Municipal Taxes (640,000) (255,000) 385,000 (60.16%)Mun Taxes
Total Operating Budget 14,898,500 16,254,700 1,356,200 9.10%
Capital Asset Management
Corporate Services 59,600 0 (59,600) (100.00%)Corp Ser
Fleet Services 338,000 338,000 0.00%Operations
Fire Services 10,000 51,900 41,900 419.00%Fire
Police Services 57,000 (57,000) (100.00%)Police
Engineering 99,000 274,200 175,200 176.97%Operations
Public Works 1,431,300 1,772,100 340,800 23.81%Operations
Airport Operations
Cemetery 60,000 (60,000) (100.00%)RCP
Parks 110,000 120,000 10,000 9.09%RCP
Recreation - Programs 10,000 15,000 5,000 50.00%RCP
Recreation - Facilities 205,000 200,000 (5,000) (2.44%)RCP
Museum 10,000 92,900 82,900 829.00%RCP
Transit Services 68,000 68,000 Operations
Economic Development 53,600 53,600 EcDev
Total Asset Management 2,051,900 2,985,700 933,800 45.51%
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Summary
Levy Impact by 1% =169,504$
Dept/area Of
%Operating Capital Combined $Operating Capital Combined Increase
Corp Ser 0.65%-2.90%0.22%Corp Ser 97,300$ (59,600)$ 37,700$ 1.6%
Finance 1.19%0.00%1.05%Finance 177,900$ -$ 177,900$ 7.8%
Operations 2.17%44.93%7.35%Operations 324,000$ 922,000$ 1,246,000$ 54.4%
RCP 1.32%1.60%1.35%RCP 196,400$ 32,900$ 229,300$ 10.0%
EcDev 0.31%2.61%0.59%EcDev 46,900$ 53,600$ 100,500$ 4.4%
Fire 0.00%2.04%0.25%Fire -$ 41,900$ 41,900$ 1.8%
Police 0.86%-2.78%0.42%Police 128,700$ (57,000)$ 71,700$ 3.1%
Mun Taxes 2.58%0.00%2.27%Mun Taxes 385,000$ -$ 385,000$ 16.8%
9.10%45.51%13.51%1,356,200$ 933,800$ 2,290,000$
1% =148,985$ 20,519$
2021 RT Rate 0.00820403 OPTA rate for 2021
Starting Point- Nov 11 2022 0.00788678
Binder Document 2021 2022 Variance Variance
Budget Budget $%
Consolidated Budget Requirement 16,950,400 19,240,400 2,290,000 13.51%Option # 1 Levy Change 2,290,000$ 139.07$ Impact to Avg RT
Total Operating Budget 14,898,500 16,254,700 1,356,200 9.10%RT Tax Rate 0.00881399 7.43%Tax Rate Change
Total Asset Management 2,051,900 2,985,700 933,800 45.51%
Revised with Savings
Consolidated Budget Requirement 16,950,400 18,757,400 1,807,000 10.66%Option # 2 Levy Change 1,807,000$ 88.62$ Impact to Avg RT
Total Operating Budget 14,898,500 15,786,700 888,200 5.96%RT Tax Rate 0.00859273 4.74%Tax Rate Change
Total Asset Management 2,051,900 2,970,700 918,800 44.78%
Revised with Savings
Consolidated Budget Requirement 16,950,400 18,257,100 1,306,700 7.71%Option # 3 Levy Change 1,306,700$ 32.55$ Impact to Avg RT
Total Operating Budget 14,898,500 15,786,700 888,200 5.96%RT Tax Rate 0.00836355 1.94%Tax Rate Change
Total Asset Management 2,051,900 2,470,400 418,500 20.40%
Revised with Savings
Consolidated Budget Requirement 16,950,400 17,783,600 833,200 4.92%Option # 4 Levy Change 833,200$ (13.09)$ Impact to Avg RT
Total Operating Budget 14,898,500 15,731,700 833,200 5.59%RT Tax Rate 0.00814664 -0.70%Tax Rate Change
Total Asset Management 2,051,900 2,051,900 0 0.00%
Tax rate %
change
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Option 2 Starting Point- Nov 11 2022
Potential Savings Fund one-time items from reserve, reduce transfer to Fleet reserve, reduce 2021 2022 Variance Variance
consolidated expenses, and fund only A & B capital, not C priority items Budget Budget $ %
Consolidated Budget Requirement 16,950,400 19,240,400 2,290,000 13.51%Option # 1
Operating Plan Reductions Comment Total Operating Budget 14,898,500 16,254,700 1,356,200 9.10%
Council (158,200)$ one-time items funded from tax rate stabilization reserve Total Asset Management 2,051,900 2,985,700 933,800 45.51%
Financial Services (33,300)$ one-time items funded from tax rate stabilization reserve
Corporate Services -$
Customer Services -$ Revised with Savings
Fleet Services (45,000)$ reduce annual contribution to reserve from $100k to $55k Consolidated Budget Requirement 16,950,400 18,757,400 1,807,000 10.66%Option # 2
THI -$ Total Operating Budget 14,898,500 15,786,700 888,200 5.96%
Enterprise Services -$ Total Asset Management 2,051,900 2,970,700 918,800 44.78%
Fire Services -$
Police Services (51,000)$ Police Reserve - not recommended
Protection/Bylaw -$
Building -$
OPS Admin -$ Tax Rate Stabilization Reserve
Engineering -$ 2021 est. ending Balance 353,681
Public Works (24,000)$ one-time items funded from tax rate stabilization reserve 2022 Suggested use:
Parking -$ Council (158,200)
Airport -$ Financial Services (33,300)
Waste Management
(37,000)$
Additional revenue added to garbage bag tag sales $2k; one-time
items funded from tax rate stabilization reserve $35k Financial Services (28,000)
(currently in
FMW)
Cemetery -$ Public Works (24,000)
Parks -$ Waste Management (35,000)
Community Events -$ Economic Development (14,000)
Recreation - Programs -$ 2022 est. ending balance 61,181
Recreation - Facilities -$ Note: the above does not account for any 2021 consolidated surplus
Elliott Fairbairn Centre -$
Museum -$
Transit Services -$
Development & Communication
Services (18,000)$
Reduce BIA Façade request from $35K to $31K; one-time items
funded from tax rate stablization reserve $14k
Economic Development (10,000)$ Cut PT labour for summer student shared with CAO
Municipal Taxes -$
Total- savings/reductions (376,500)$
Additional Operating Savings
Supplies (39,500)$ Reduce consolidated expense amount to 2021 amount
Building Repairs & Maintenance (18,900)$ Reduce consolidated expense amount to 2021 amount
FT overtime (21,600)$ Reduce consolidated expense amount to 2021 amount
Materials/Inventory (11,500)$ Reduce consolidated expense amount to 2021 amount
Total- savings/reductions (91,500)$
Capital Asset Management
A – Must do this year 2,720,400$ fund the 'must do' this year projects in 2022
B – Must do next year 250,300$ fund the 'must do' next year projects in 2022
2,970,700$
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Option 3 Starting Point- Nov 11 2022
Potential Savings Same as Option 2, but fund Loader from Fleet reserve instead of taxation 2021 2022 Variance Variance
Reduces levy by $250K, and not fund priority B items Budget Budget $ %
Consolidated Budget Requirement 16,950,400 19,240,400 2,290,000 13.51%Option # 1
Operating Plan Reductions Comment Total Operating Budget 14,898,500 16,254,700 1,356,200 9.10%
Council (158,200)$ one-time items funded from tax rate stabilization reserve Total Asset Management 2,051,900 2,985,700 933,800 45.51%
Financial Services (33,300)$ one-time items funded from tax rate stabilization reserve
Corporate Services -$
Customer Services -$ Revised with Savings
Fleet Services (45,000)$ reduce annual contribution to reserve from $100k to $55k Consolidated Budget Requirement 16,950,400 18,257,100 1,306,700 7.71%Option # 3
THI -$ Total Operating Budget 14,898,500 15,786,700 888,200 5.96%
Enterprise Services -$ Total Asset Management 2,051,900 2,470,400 418,500 20.40%
Fire Services -$
Police Services (51,000)$ Police Reserve - not recommended
Protection/Bylaw -$
Building -$
OPS Admin -$ Tax Rate Stabilization Reserve
Engineering -$ 2021 est. ending Balance 353,681
Public Works (24,000)$ one-time items funded from tax rate stabilization reserve 2022 Suggested use:
Parking -$ Council (158,200)
Airport -$ Financial Services (33,300)
Waste Management
(37,000)$
Additional revenue added to garbage bag tag sales $2k; one-time
items funded from tax rate stabilization reserve $35k Financial Services (28,000)
(currently in
FMW)
Cemetery -$ Public Works (24,000)
Parks -$ Waste Management (35,000)
Community Events -$ Economic Development (14,000)
Recreation - Programs -$ 2022 est. ending balance 61,181
Recreation - Facilities -$ Note: the above does not account for any 2021 consolidated surplus
Elliott Fairbairn Centre -$
Museum -$
Transit Services -$
Development & Communication
Services (18,000)$
Reduce BIA Façade request from $35K to $31K; one-time items
funded from tax rate stablization reserve $14k
Economic Development (10,000)$ Cut PT labour for summer student shared with CAO
Municipal Taxes -$
Total- savings/reductions (376,500)$
Additonal Operating Savings
Supplies (39,500)$ Reduce consolidated expense amount to 2021 amount
Buidling Repairs & Maintenance (18,900)$ Reduce consolidated expense amount to 2021 amount
FT overtime (21,600)$ Reduce consolidated expense amount to 2021 amount
Materials/Inventory (11,500)$ Reduce consolidated expense amount to 2021 amount
Total- savings/reductions (91,500)$
Capital Asset Management
A – Must do this year 2,720,400$ only fund the 'must do' this year projects in 2022
X88- Replace Roads Unit #80 - Loader (250,000)$ Funded from Fleet Reserve instead of taxation
2,470,400$ Page 5 of 9
Page 34 of 234
Option 4 Starting Point- Nov 11 2022
Potential Savings Same as Option 3, but reduce Fleet reserve transfer to $0 and same capital 2021 2022 Variance Variance
budget as 2021 Budget Budget $ %
Consolidated Budget Requirement 16,950,400 19,240,400 2,290,000 13.51%Option # 1
Operating Plan Reductions Comment Total Operating Budget 14,898,500 16,254,700 1,356,200 9.10%
Council (158,200)$ one-time items funded from tax rate stabilization reserve Total Asset Management 2,051,900 2,985,700 933,800 45.51%
Financial Services (33,300)$ one-time items funded from tax rate stabilization reserve
Corporate Services -$
Customer Services -$ Revised with Savings
Fleet Services (100,000)$ reduce annual contribution to reserve from $100k to $0 Consolidated Budget Requirement 16,950,400 17,783,600 833,200 4.92%Option # 4
THI -$ Total Operating Budget 14,898,500 15,731,700 833,200 5.59%
Enterprise Services -$ Total Asset Management 2,051,900 2,051,900 0 0.00%
Fire Services -$
Police Services (51,000)$ Police Reserve;
Protection/Bylaw -$
Building -$
OPS Admin -$ Tax Rate Stabilization Reserve
Engineering -$ 2021 est. ending Balance 353,681
Public Works (24,000)$ one-time items funded from tax rate stabilization reserve 2022 Suggested use:
Parking -$ Council (158,200)
Airport -$ Financial Services (33,300)
Waste Management
(37,000)$
Additional revenue added to garbage bag tag sales $2k; one-time
items funded from tax rate stabilization reserve $35k Financial Services (28,000)
(currently in
FMW)
Cemetery -$ Public Works (24,000)
Parks -$ Waste Management (35,000)
Community Events -$ Economic Development (14,000)
Recreation - Programs -$ 2022 est. ending balance 61,181
Recreation - Facilities -$ Note: the above does not account for any 2021 consolidated surplus
Elliott Fairbairn Centre -$
Museum -$
Transit Services -$
Development & Communication Services
(18,000)$
Reduce BIA Façade request from $35K to $31K; one-time items
funded from tax rate stablization reserve $14k
Economic Development (10,000)$ Cut PT labour for summer student shared with CAO
Municipal Taxes -$
Total- savings/reductions (431,500)$
Additonal Operating Savings
Supplies (39,500)$ Reduce consolidated expense amount to 2021 amount
Buidling Repairs & Maintenance (18,900)$ Reduce consolidated expense amount to 2021 amount
FT overtime (21,600)$ Reduce consolidated expense amount to 2021 amount
Materials/Inventory (11,500)$ Reduce consolidated expense amount to 2021 amount
Total- savings/reductions (91,500)$
Capital Asset Management
2,051,900$ Fund the same level amount as in 2021
2,051,900$
Page 6 of 9
Page 35 of 234
2021 Preliminary Additional Revenue from 2021 Assessment Growth
Tillsonburg Town, 3204 20-Nov
2021 Total Taxation Based on Returned Roll 2021 Total Taxation to Current Date (1)Difference Between Returned Roll and Year End
Class CVA Total CVA Total $ % $ % $ % $ %
Taxable
Residential 1,523,285,476 6,156,116 12,028,290 18,184,406 1,569,379,062 6,342,396 12,391,820 18,734,216 46,093,586 3.03% 186,280 3.03% 363,530 3.02% 549,810 3.02%
New Multi-residential 0 0 0 0 5,379,000 21,738 42,423 64,161 5,379,000 0.00% 21,738 0.00% 42,423 0.00% 64,161 0.00%
Multi-residential 56,681,100 458,135 898,882 1,357,017 54,740,100 442,447 868,265 1,310,712 -1,941,000 -3.42% -15,688 -3.42% -30,616 -3.41% -46,305 -3.41%
Com. Occupied 167,720,117 1,289,067 2,636,749 3,925,816 168,786,117 1,297,260 2,652,738 3,949,998 1,066,000 0.64% 8,193 0.64% 15,989 0.61% 24,182 0.62%
Com. Exc. Land 840,500 4,522 8,825 13,347 840,500 4,522 8,825 13,347 0 0.00%0 0.00%0 0.00%0 0.00%
Com. Vac. Land 2,520,500 13,560 26,726 40,287 1,793,500 9,649 19,093 28,743 -727,000 -28.84% -3,911 -28.84% -7,633 -28.56% -11,544 -28.66%
Ind. Occupied 37,243,400 395,850 772,511 1,168,361 36,866,900 391,848 764,702 1,156,550 -376,500 -1.01% -4,002 -1.01% -7,809 -1.01% -11,811 -1.01%
Ind. Exc. Land 414,400 2,863 5,587 8,450 479,500 3,313 6,465 9,778 65,100 15.71% 450 15.71%878 15.71% 1,327 15.71%
Large Ind. Occ.20,730,807 220,342 430,003 650,345 20,730,807 220,342 430,003 650,345 0 0.00%0 0.00%0 0.00%0 0.00%
Large Ind. Exc.44,400 307 599 905 44,400 307 599 905 0 0.00%0 0.00%0 0.00%0 0.00%
Pipelines 5,609,000 28,546 55,708 84,253 5,690,000 28,958 56,512 85,470 81,000 1.44% 412 1.44%804 1.44% 1,217 1.44%
Farm 9,555,500 8,407 16,406 24,813 10,734,500 9,444 18,431 27,875 1,179,000 12.34% 1,037 12.34% 2,024 12.34% 3,062 12.34%
Commercial Total Taxable 171,081,117 1,307,149 2,672,300 3,979,449 171,420,117 1,311,431 2,680,656 3,992,087 339,000 0.20% 4,282 0.33% 8,356 0.31% 12,638 0.32%
Industrial Total Taxable 58,433,007 619,361 1,208,700 1,828,061 58,121,607 615,809 1,201,768 1,817,578 -311,400 -0.53% -3,552 -0.57% -6,932 -0.57% -10,484 -0.57%
Total Taxable 1,824,645,200 8,577,715 16,880,286 25,458,000 1,875,464,386 8,772,223 17,259,875 26,032,099 50,819,186 2.79% 194,509 2.27% 379,590 2.25% 574,098 2.26%
Payment in Lieu
Residential 6,700 27 53 80 6,700 27 53 80 0 0.00%0 0.00%0 0.00%0 0.00%
Com. Occupied 6,110,400 46,963 91,650 138,614 6,110,400 46,963 91,650 138,614 0 0.00%0 0.00%0 0.00%0 0.00%
Com. Exc. Land 360,100 1,937 3,781 5,718 360,100 1,937 3,781 5,718 0 0.00%0 0.00%0 0.00%0 0.00%
Com. Vac. Land 99,000 533 1,039 1,572 99,000 533 1,039 1,572 0 0.00%0 0.00%0 0.00%0 0.00%
Ind. Occupied 29,200 310 606 916 29,200 310 606 916 0 0.00%0 0.00%0 0.00%0 0.00%
Commercial Total PIL 6,569,500 49,433 96,471 145,904 6,569,500 49,433 96,471 145,904 0 0.00%0 0.00%0 0.00%0 0.00%
Industrial Total PIL 29,200 310 606 916 29,200 310 606 916 0 0.00%0 0.00%0 0.00%0 0.00%
Total PIL 6,605,400 49,771 97,129 146,900 6,605,400 49,771 97,129 146,900 0 0.00%0 0.00%0 0.00%0 0.00%
Commercial Grand Total 177,650,617 1,356,583 2,768,771 4,125,354 177,989,617 1,360,864 2,777,127 4,137,991 339,000 0.19% 4,282 0.32% 8,356 0.30% 12,638 0.31%
Industrial Grand Total 58,462,207 619,672 1,209,306 1,828,977 58,150,807 616,120 1,202,374 1,818,494 -311,400 -0.53% -3,552 -0.57% -6,932 -0.57% -10,484 -0.57%
Grand Total 1,831,250,600 8,627,486 16,977,415 25,604,901 1,882,069,786 8,821,994 17,357,004 26,178,999 50,819,186 2.78% 194,509 2.25% 379,590 2.24% 574,098 2.24%
County Town Total New
New Assmt Revenue Revenue Revenue
2021 Assessment Growth 50,819,186 2.78% 194,509 2.25% 379,590 2.24% 574,098 2.24%
2020 Assessment Growth 40,529,500 2.26% 182,351 2.15% 369,378 2.14% 551,729 2.14%
2019 Assessment Growth 42,554,410 2.48% 168,295 2.06% 330,299 2.01% 498,594 2.03%
2018 Assessment Growth 31,683,434 1.92% 139,162 1.77% 275,400 1.78% 414,562 1.77%
2018-2021 YTD additional revenue from assessment growth 1,354,667
Lower Tier Total Change
1. The 2021 Total Taxation to Current Date columns only include the additional revenue from in-year assessment changes released
by MPAC and processed by OPTA up to the date of the report. The columns do not include the additional revenue from 2021 year-
end changes that will be returned on the 2022 assessment roll. The total revenue from all 2021 in-year and year-end changes will be
reported on the report after the return of the 2022 assessment roll.
Upper Tier Lower Tier Upper Tier Lower Tier
CVA Upper Tier
Page 7 of 9
Page 36 of 234
2022 Tax Impact on Median/Typical Property
Tillsonburg Town, 3204
Budget as Presented
RTC RTQ Description
Prop
Code
Prop
Count 2020 CVA 2021 CVA
% CVA
Change
2020 Total
CVA Taxes
2021 Total
CVA Taxes
$ Tax
Change
% Tax
Change
R T Single Family Home 301 5,067 228,000 228,000 0.00% 3,146.30 3,285.37 139.07 4.42%
R T Residential Condominium Unit 370 599 123,000 123,000 0.00% 1,697.33 1,772.36 75.03 4.42%
R T Farm House 201 3 450,400 450,400 0.00% 6,215.31 6,490.03 274.72 4.42%
F T Farmland 211 2 178,500 178,500 0.00% 545.07 568.78 23.71 4.35%
M T Apartment Building 340 27 1,389,000 1,389,000 0.00% 36,209.93 37,904.39 1,694.46 4.68%
C T Small Office Building 400 16 174,000 174,000 0.00% 6,583.29 6,141.34 -441.95 -6.71%
C T Small Retail Commercial Property 410 36 170,000 170,000 0.00% 6,431.95 6,000.16 -431.79 -6.71%
I T Standard Industrial Property 520 15 1,317,100 1,317,100 0.00% 58,965.05 56,204.67 -2,760.38 -4.68%
Option 2
RTC RTQ Description
Prop
Code
Prop
Count 2020 CVA 2021 CVA
% CVA
Change
2020 Total
CVA Taxes
2021 Total
CVA Taxes
$ Tax
Change
% Tax
Change
R T Single Family Home 301 5,067 228,000 228,000 0.00% 3,146.30 3,234.92 88.62 2.82%
R T Residential Condominium Unit 370 599 123,000 123,000 0.00% 1,697.33 1,745.15 47.82 2.82%
R T Farm House 201 3 450,400 450,400 0.00% 6,215.31 6,390.38 175.07 2.82%
F T Farmland 211 2 178,500 178,500 0.00% 545.07 560.18 15.11 2.77%
M T Apartment Building 340 27 1,389,000 1,389,000 0.00% 36,209.93 37,289.73 1,079.80 2.98%
C T Small Office Building 400 16 174,000 174,000 0.00% 6,583.29 6,068.12 -515.17 -7.83%
C T Small Retail Commercial Property 410 36 170,000 170,000 0.00% 6,431.95 5,928.62 -503.33 -7.83%
I T Standard Industrial Property 520 15 1,317,100 1,317,100 0.00% 58,965.05 55,438.23 -3,526.82 -5.98%
Option 3
RTC RTQ Description
Prop
Code
Prop
Count 2020 CVA 2021 CVA
% CVA
Change
2020 Total
CVA Taxes
2021 Total
CVA Taxes
$ Tax
Change
% Tax
Change
R T Single Family Home 301 5,067 228,000 228,000 0.00% 3,146.30 3,182.67 36.37 1.16%
R T Residential Condominium Unit 370 599 123,000 123,000 0.00% 1,697.33 1,716.96 19.63 1.16%
R T Farm House 201 3 450,400 450,400 0.00% 6,215.31 6,287.15 71.84 1.16%
F T Farmland 211 2 178,500 178,500 0.00% 545.07 551.27 6.20 1.14%
M T Apartment Building 340 27 1,389,000 1,389,000 0.00% 36,209.93 36,653.07 443.14 1.22%
C T Small Office Building 400 16 174,000 174,000 0.00% 6,583.29 5,992.28 -591.01 -8.98%
C T Small Retail Commercial Property 410 36 170,000 170,000 0.00% 6,431.95 5,854.53 -577.42 -8.98%
I T Standard Industrial Property 520 15 1,317,100 1,317,100 0.00% 58,965.05 54,644.37 -4,320.68 -7.33%
Option 4
RTC RTQ Description Prop Prop 2020 CVA 2021 CVA % CVA 2020 Total 2021 Total $ Tax % Tax
R T Single Family Home 301 5,067 228,000 228,000 0.00% 3,146.30 3,133.21 -13.09 -0.42%
R T Residential Condominium Unit 370 599 123,000 123,000 0.00% 1,697.33 1,690.28 -7.05 -0.42%
R T Farm House 201 3 450,400 450,400 0.00% 6,215.31 6,189.46 -25.85 -0.42%
F T Farmland 211 2 178,500 178,500 0.00% 545.07 542.84 -2.23 -0.41%
M T Apartment Building 340 27 1,389,000 1,389,000 0.00% 36,209.93 36,050.50 -159.43 -0.44%
C T Small Office Building 400 16 174,000 174,000 0.00% 6,583.29 5,920.50 -662.79 -10.07%
C T Small Retail Commercial Property 410 36 170,000 170,000 0.00% 6,431.95 5,784.40 -647.55 -10.07%
I T Standard Industrial Property 520 15 1,317,100 1,317,100 0.00% 58,965.05 53,892.99 -5,072.06 -8.60%
The median or typical property in each group represents a property with an assessed value at or near the midpoint or median for the group and a per cent change
in assessment for the year at or near the median for the group.
The property code displayed opposite the property indicates the specific subgroup to which the property belongs.
Single Family Home is a single family detached house not on water (RTC/RTQ = RT, Property Code 301)
Seasonal Recreational Dwelling can be a cottage on water (RTC/RTQ = RT, Property Code 391), a cottage with access to water (RTC/RTQ = RT, Property Code
392) or a cottage without access to water (RTC/RTQ = RT, Property Code 395)
Residential Condominium Unit is a residential condominium unit (RTC/RTQ = RT, Property Code 370)
Farm House can be a house on a farm that may have secondary structures but no farm buildings (RTC/RTQ = RT, Property Code 201) or a house on a farm that
has secondary structures and farm buildings (RTC/RTQ = RT, Property Code 211)
Farmland can be land on a farm on which there is also a house that may have secondary structures but no farm buildings (RTC/RTQ = FT, Property Code 201) or
land on a farm on which there is also a house, secondary structures and farm buildings (RTC/RTQ = FT, Property Code 211)
Managed Forest can be vacant land not on water (RTC/RTQ = TT, Property Code 240), vacant land on water (RTC/RTQ = TT, Property Code 241), land on which
there is also a cottage not on water (RTC/RTQ = TT, Property Code 242), land on which there is also a cottage on water (RTC/RTQ = TT, Property Code 243),
land on which there is also a house not on water (RTC/RTQ = TT, Property Code 244) or land on which there is also a house on water (RTC/RTQ = TT, Property
Code 245)
Apartment Building is a multi-residential building with 7 or more self-contained residential units (RTC/RTQ = MT, Property Code 340) or a multi-residential building
with 7 or more self-contained residential units, with small commercial unit(s) (RTC/RTQ = MT, Property Code 341)Page 8 of 9
Page 37 of 234
Small Office Building is a single tenant or owner occupied office building under 7,500 sq. ft. (RTC = C or X that pays both education and municipal taxes,
excludes vacant/excess land, Property Code 400)
Small Retail Commercial Property is a one storey retail property under 10,000 sq. ft. (RTC = C or X that pays both education and municipal taxes, excludes
vacant/excess land, Property Code 410)
Standard Industrial Property is an industrial property not identified by type or use (RTC = I or J that pays both education and municipal taxes, excludes
vacant/excess land, Property Code 520)
Page 9 of 9
Page 38 of 234
November 29 , 2021
Office of the CAO
TOWN OF
TILLSONBURG
2022 Business Plan
Page 39 of 234
2
2022 Business Objectives
2022 Business Plan | Office of the CAO
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
Physician Recruitment Goal – Life Style & Amenities
Strategic Direction – Expand community partnerships in the
delivery of programs and amenities
Priority Project -On going - Physician recruitment program
CAO $70,000 Ongoing
Town Hall Project Goal – Customer Service, Communications and Engagement
Strategic Direction – Position Tillsonburg as a leader in the
municipal sector
Priority Project -Immediate Term - Consolidated Town Hall
initiative; Consolidated customer service counter
CAO $254,040 Q4 and
beyond fiscal
year
Attainable and Affordable
Housing
Goal – Life Style & Amenities
Strategic Direction – Work with Oxford County and
community partners to ensure an adequate supply of
affordable, attainable
housing options; Facilitate attainable housing options for
local employees (Business Attraction, Retention and
Expansion)
Priority Project –Immediate Term - Affordable housing
collaboration
with Oxford County
CAO
Strategic
Plan
Initiatives
Ongoing
Page 40 of 234
3
2022 Business Objectives
2022 Business Plan | Office of the CAO
Project Community Strategic Plan Lead
Accountability
Project Cost Anticipated
Completion
Boundary Adjustment Goal – Business Attraction, Retention and Expansion
Strategic Direction – Ensure adequate supply of “shovel
ready” land for business attraction and expansion
Priority Project -Immediate Term - Boundary
expansion initiative
CAO
Strategic Plan
Initiatives
Ongoing
Carry out Strategic Plan
Initiatives
Town of Tillsonburg Community Strategic Plan (2021-
2030)
CAO $60,000 Ongoing
Page 41 of 234
4
Risks
•Global Pandemic (COVID-19)
•Projected retirements vs new physicians (supply and
demand)
•Timing (Town Hall)
•Available lands
2022 Business Plan | Office of the CAO
Page 42 of 234
5
Opportunities
2022 Business Plan | Office of the CAO
•Government funding
•Made in Tillsonburg initiatives/approaches
Page 43 of 234
6
Future Departmental
Directions: 3 Year Outlook
•2023
•Continue to find process efficiencies
•Continue to engage and communicate with Council and staff
•Priority check with Council
•Carry out strategic plan initiatives
•2024/2025
•Carry out strategic plan initiatives
•Service Delivery Review
2022 Business Plan | Office of the CAO
Page 44 of 234
2022 Capital Project Listing - New Projects (Draft)
Project # Contribution Grants Grants Tax Supported Reserves DC DC Donations Miscellaneous User Pay Taxation Project Priority ITEM
in FMW Expenditures to Reserves Oxford County Fed & Prov Debt Reserves - w/o Exemptions Reserves - with Exemptions Debt Ranking Code #
Project Listing
110 Corporate Services
Town Hall X44
254,000 (254,000) - 2 B – Must do next year
3- Regular replacement program-
existing service level
Total 110 Corporate Services - 254,000 - - (254,000) - - - - - - -
7
Page 45 of 234
Page 46 of 234
November 29 , 2021
Financial Services
TOWN OF
TILLSONBURG
2022 Business Plan
Page 47 of 234
2
Departmental Highlights
• Departmental Accomplishments:
• WFH and meet interim audit requirements
• Implementation of Virtual City Hall (VCH)
• Customer Service, Communication and Engagement Pillar -
Continue to develop digital service delivery while maintaining
counter and telephone channels
• Regional collaboration
• Explore opportunities for service efficiencies in partnership with
adjacent municipalities
• A/P Digitization Review – County, Tillsonburg, Ingersoll
• Strengthen procurement processes
• New templates to enhance process and reduce risk
• Delegation of duties / skills development
• Enhance employee engagement and training as the foundation
for exceptional customer service
2022 Business Plan | Financial Services
Page 48 of 234
3
2022 Business Objectives
2022 Business Plan | Financial Services
Project Community Strategic
Plan
Lead
Accountability
Project Cost Anticipated
Completion
Financial System (Great Plains)
Version Update
Goal – Customer Service,
Communications and Engagement
Strategic Direction – Excellence and
accountability in government
Priority Project -Short Term -
Director / Deputy
Treasurer / Revenue
Manager
$9,000
(within Corp Services -
IT)
Q1
AP Digitalization, streamlining
study with County and
Ingersoll (Pending Review)
Goal – Customer Service,
Communications and Engagement
Strategic Direction – Excellence and
accountability in government
Priority Project -Short Term -
Director / Deputy
Treasurer / AP Clerk
TBD
($33,300 estimate
within Operating
budget)
TBD
Purchase Order (Paramount) /
FMW Integration Pilot
(Pendingoutcome of AP
Digitalization)
Goal – Customer Service,
Communications and Engagement
Strategic Direction – Excellence and
accountability in government
Priority Project -Short Term -
Director / Deputy
Treasurer / Purchasing
Coordinator
TBD Q2
Multi-year Budget
Development & Asset
Management Plan Integration
(FMW and CityWide)
Goal – Customer Service,
Communications and Engagement
Strategic Direction – Excellence and
accountability in government
Priority Project –Short Term –
Multi-year budgeting; Financial
sustainability plan
Director / Deputy
Treasurer / Operations
staff / SLT & Managers
$28,000 Q3
Page 49 of 234
4
2022 Business Objectives Cont’d
2022 Business Plan | Financial Services
Project Community Strategic
Plan
Lead
Accountability
Project Cost Anticipated
Completion
Reserves & Trusts Thresholds
Policy Review
Goal – Customer Service,
Communications and Engagement
Strategic Direction – Excellence and
accountability in government
Priority Project –Short Term –
Multi-year budgeting; Financial
sustainability plan
Director / Deputy
Treasurer
$0 Q4
Foundational work on 2023-
2025 Goals
Goal – Customer Service,
Communications and Engagement
Strategic Direction – Excellence and
accountability in government
Priority Project –Short Term –
Multi-year budgeting; Financial
sustainability plan
Director / Deputy
Treasurer / Revenue
Manager
$0 Q4
Page 50 of 234
5
Risks & Opportunities
2022 Business Plan | Financial Services
Risk Opportunity
Cyber risk; ransomware attacks Strengthening internal processes;
fraud prevention services; insurance
Numerous departmental transitions,
workload and stretched resources
Skills training and development;
service level reviews
Technology obsolescence; Innovation and strategic investments
in new technology and processes
Pandemic disruptions uncertainties
Budget approval
Page 51 of 234
6
Future Departmental
Directions: 3 Year Outlook
•2023-2025
•AR Collections & Write-Off Policy
•Financial Sustainability Plan/Long-range
Financial Plan
•Updated Debt Policy
•Purchase Order Policy
2022 Business Plan | Financial Services
Page 52 of 234
2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
Grants -709,900 -653,600 56,300 (7.9%)1
User Charges -24,000 -24,000
Other Revenue -60,000 -70,000 -10,000 16.7%2
Contribution from Reserves -150,000 -28,000 122,000 (81.3%)3
Total Revenues -943,900 -775,600 168,300 (17.8%)
Expenditures
Labour 800,000 838,700 38,700 4.8%
Purchases 65,300 118,100 52,800 80.9%4
Contracted Services 40,000 40,000
Contribution to Reserves 53,800 -53,800 (100.0%)5
Interfunctional Adjustments -199,100 -227,200 -28,100 14.1%6
Total Expenditures 760,000 769,600 9,600 1.3%
Total Net Levy -183,900 -6,000 177,900 (96.7%)
Notes:
1 Increased OMPF Grant; Safe Restart grant not applicable in 2021
2 Interest Revenue
3 One-time use from prior year consolidated surplus
4 Special Projects - AP Digitalization & FMW multi year budget
5 Savings into Tax Rate Stabilization reserve
6 Staff time allocations
7
Page 53 of 234
November 29 , 2021
Corporate Services
TOWN OF
TILLSONBURG
2022 Business Plan
Page 54 of 234
2
2022 Business Objectives
2022 Business Plan | Corporate Services
Project Community Strategic
Plan
Lead
Accountability
Project Cost Anticipated
Completion
Employee Engagement
Survey
Goal – Customer Service,
Communication and Engagement
Strategic Direction –Enhance
employee engagement and
training as the foundation for
exceptional customer service
Priority Project-Employee
Engagement Strategy
Manager of Human
Resources
$10,000 June of 2022
Investigate Options for a
Volunteer Recognition
Program
Goal –Customer Service,
Communication and Engagement
Strategic Direction – Engage
Community Groups
Priority Project-Volunteer
Recognition Program
Manager of Human
Resources
$2,500 April of 2022
Council Orientation
Program
Goal – Customer Service,
Communication and Engagement
Strategic Direction –Position
Tillsonburg as a leader in the
municipal sector
Priority Project-Provide training to
members of Council.
Director of Corporate
Services
$5,000 Ongoing
Page 55 of 234
3
2022 Business Objectives
2022 Business Plan | Corporate Services
Project Community Strategic Plan Lead
Accountability
Project Cost Anticipated
Completion
Youth Engagement
Program
Goal –Customer Service,
Communication and Engagement
Strategic Direction – Increase
opportunities and promotion for public
engagement in shaping municipal
initiatives
Priority Project- Youth Engagement
Strategy
Clerk $1,000 Ongoing
Review of Council
Committees
Goal – Customer Service,
Communication and Engagement
Strategic Direction –Better engage
community groups
Priority Project-Review of
mandate/terms of reference for
committees
Clerk N/A Summer of 2022
Municipal Election Goal –Customer Service,
Communication and Engagement
Strategic Direction –Engage the
community
Priority Project-Preparing and
delivering a successful election process
Clerk $45,000 October of 2022
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4
2022 Business Objectives
2022 Business Plan | Corporate Services
Project Community Strategic Plan Lead
Accountability
Project Cost Anticipated
Completion
Navigation improvements
on the Municipal website
Goal – Customer Service, Communications
and Engagement
Strategic Direction –continue to develop
digital service delivery
Priority Project- improving the website
Communications
Officer
$60,000 upper
end (scalable)
End of 2022
Mobile Application for
reporting and service
requests
Goal –Customer Service, Communications
and Engagement
Strategic Direction –continue to develop
digital service delivery
Priority Project-introduction of a new
mobile application
Communications
Officer
$37,500 End of 2022
Implement IT plan Goal – Customer Service, Communications
and Engagement
Strategic Direction –explore opportunities
for service efficiencies
Priority Project-Once IT plan has
concluded, implement the
recommendations
Director of Corporate
Services
Not known at this
time
Multi-year
Page 57 of 234
5
2022 Capital Summary
2022 Business Plan | Corporate Services
Project Community Strategic Plan Lead
Accountability
Project Cost Anticipated
Completion
Contribution to IT Reserves from
Departmental Charges for future
Computer Hardware Replacements
Goal – Customer Service,
Communications and Engagement
Strategic Direction –service efficiencies
and employee satisfaction by providing
them with the right tools
Priority Project- securing new
equipment for team members
IT $74,000
(-$74,000
recovery from
Departments)
Q4
Computer Replacements Goal – Customer Service,
Communications and Engagement
Strategic Direction –service efficiencies
and employee satisfaction by providing
them with the right tools
Priority Project- securing new
equipment for team members
IT $62,300 Q4
Cell Phone Replacements Goal – Customer Service,
Communications and Engagement
Strategic Direction –service efficiencies
and employee satisfaction by providing
them with the right tools
Priority Project- securing new
equipment for team members
IT $8,000 Q4
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6
•Recruitment
•Pay Administration
•Human Resource Information
System (HRIS)
•Benefit Administration
•Policy & Procedures
•Employee Relations
•Health & Safety/Wellness
•Labour Relations
Human
Resources
Services
20212Business Plan | Human Resources
Page 59 of 234
7
Total FTE Count
2021 2022
(proposed)
Total FTE Requirements 140.35 143.1
Change from previous year 3.01 2.75
2022 Business Plan | Human Resources
Page 60 of 234
8
Risks
IT
•Cyber attacks against municipal government which
requires continued constant vigilance and precautions.
Challenges
Human Resources
•Competitive recruiting in our sector which may impact our
ability to hire the best. There is also a trend of people
moving from one organization to another so retention of
our good talent may be a challenge.
2022 Business Plan | Corporate
Page 61 of 234
9
Opportunities
Clerks
•Increased efficiencies while ensuring record retention best
practices by converting all permanent files to electronic
format.
Human Resources
•Building, training an engaged team to see the successful
delivery of services
Customer Service
•With the assistance of the right tools and technology, we
can see efficiencies which will result in excellence in
customer service.
2022 Business Plan | Corporate Services
Page 62 of 234
10
Future Departmental
Directions: 3 Year Outlook
•2023/2024/2025 – ongoing management of documents
and records which continues to increase
•Communication practices continue to evolve and we need
to understand the ever changing needs of our residents
•On-going training and identification of tools is necessary
to ensure we see excellence in customer service delivery
•The changes we are seeing in our sector (ie increased
retirements) requires us to be an employer of choice so
we need to position ourselves accordingly.
2022 Business Plan | Corporate Services
Page 63 of 234
2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
User Charges -11,000 -34,000 -23,000 209.1%1
Contribution from Reserves -4,000 4,000 (100.0%)
Total Revenues -15,000 -34,000 -19,000 126.7%
Expenditures
Labour 1,066,300 1,111,100 44,800 4.2%
Purchases 562,100 595,100 33,000 5.9%2
Contracted Services 525,600 525,800 200
Interfunctional Adjustments -438,000 -533,400 -95,400 21.8%3
Debt Principal & Interest 23,900 23,900 1
Total Expenditures 1,716,000 1,722,500 6,500 0.4%
Total Net Levy 1,701,000 1,688,500 -12,500 (0.7%)
Notes:
1 Debt principal is fully offset by by third party payment
2 Insurance cost and Benefit Enhancement
3 Staff allocations and IT charge allocations
11
Page 64 of 234
2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
User Charges -298,700 -298,700
Total Revenues -298,700 -298,700
Expenditures
Labour 280,600 290,000 9,400 3.3%
Purchases 90,600 94,600 4,000 4.4%
Contracted Services 32,000 34,200 2,200 6.9%
Interfunctional Adjustments -231,400 -248,100 -16,700 7.2%1
Debt Principal & Interest 7,300 7,000 -300 (4.1%)
Total Expenditures 179,100 177,700 -1,400 (0.8%)
Total Net Levy -119,600 -121,000 -1,400 1.2%
Notes:
1 Staff allocations
12
Page 65 of 234
2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
Grants -162,100 -162,100 1
Contribution from Reserves -135,000 -115,000 20,000 (14.8%)2
Total Revenues -135,000 -277,100 -142,100 105.3%
Expenditures
Labour 199,000 203,800 4,800 2.4%
Purchases 278,100 483,100 205,000 73.7%3
Contracted Services 1,800 36,800 35,000 1,944.4%4
Contribution to Reserves 10,000 10,000
Interfunctional Adjustments 26,400 34,900 8,500 32.2%5
Total Expenditures 515,300 768,600 253,300 49.2%
Total Net Levy 380,300 491,500 111,200 29.2%
Notes:
1 Modernization funding intake 3
2 Physician Recruitment and the Election
3 Strategic plan initiatives
4 Municipal election
5 IT charges allocation
13
Page 66 of 234
2022 Capital Project Listing - New Projects (Draft)
Project # Contribution Grants Grants Tax Supported Reserves DC DC Donations Miscellaneous User Pay Taxation Project Priority ITEM
in FMW Expenditures to Reserves Oxford County Fed & Prov Debt Reserves - w/o Exemptions Reserves - with Exemptions Debt Ranking Code #
Project Listing
110 Corporate Services
Annual IT replacement program X95 (74,000)
74,000 - 1 A – Must do this year
3- Regular replacement program-
existing service level
Computer Replacements X96 62,300 (62,300) - 1 A – Must do this year
3- Regular replacement program-
existing service level
Cell Phone Replacements X97 8,000 (8,000) - 2 A – Must do this year
3- Regular replacement program-
existing service level
Total 110 Corporate Services (3,700) 74,000 - - - (70,300) - - - - - -
14
Page 67 of 234
Page 68 of 234
Page 69 of 234
Page 70 of 234
Town of
Tillsonburg
2022
Business Plan
Operations and Development Services
November 29, 2021
Page 71 of 234
2
2022 Business Objectives
2022 Business Plan | Operations and Development Services
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
Renegotiations of
Westtown Line
Boundary Road
Agreement
(CFWD)
Goal –The Town of Tillsonburg will strive for excellence and accountability in
government, providing effective and efficient services, information, and
opportunities to shape municipal initiatives.
Strategic Direction –Explore opportunities for service efficiencies in
partnership with adjacent municipalities.
Priority Project – Short Term -Municipal service review
Director of
Operations and
Development
- Q4
Renegotiations of
Water Distribution
and Wastewater
Collection
Agreement with
Oxford County
(CFWD)
Goal –The Town of Tillsonburg will strive for excellence and accountability in
government, providing effective and efficient services, information, and
opportunities to shape municipal initiatives.
Strategic Direction –Explore opportunities for service efficiencies in
partnership with adjacent municipalities.
Priority Project – Short Term -Municipal service review
Director of
Operations and
Development
- Q3
Airport Website
Redesign (CFWD)
Goal –Tillsonburg residents and businesses will be connec ted to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Leverage the municipal airport more effectively to
increase access, visibility and business activity in Tillsonburg.
Priority Project – Immediate Term-Airport Master Plan and implementation
Manager of
Public Works
- Q3
Renegotiations of
the Traffic Signal
/Streetlights
Maintenance
Agreement (CFWD)
Goal –The Town of Tillsonburg will strive for excellence and accountability in
government, providing effective and efficient services, information, and
opportunities to shape municipal initiatives.
Strategic Direction –Position Tillsonburg as a leader in the municipal s ector.
Priority Project – Short Term -Municipal service review
Manager of
Public Works
- Q3
Page 72 of 234
3
2022 Business Objectives
2022 Business Plan | Operations and Development Services
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
Asset Management
Plan Update
(CFWD)
Goal –Tillsonburg residents and businesses will be connec ted to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Develop a robust, long-term asset management plan
to inform evidence-based decisions on the maintenan ce, rehabilitation and
replacement of municipal infrastructure.
Priority Project – Ongoing -Asset Management Plan
Manager of
Engineering
- Q2
Facilities Asset
Management (FCM
Application)
(CFWD)
Goal –Tillsonburg residents and businesses will be connec ted to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Develop a robust, long-term asset management plan
to inform evidence-based decisions on the maintenan ce, rehabilitation and
replacement of municipal infrastructure.
Priority Project – Ongoing -Asset Management Plan
Manager of
Engineering
-
Lincoln St,
Townline Rd and
Goshen Street–
Design
Goal –Tillsonburg residents and businesses will be connec ted to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Develop a robust, long-term asset management plan
to inform evidence-based decisions on the maintenan ce, rehabilitation and
replacement of municipal infrastructure.
Priority Project – Ongoing -Asset Management Plan
Manager of
Engineering
- Q4
Page 73 of 234
4
2022 Business Objectives
2022 Business Plan | Operations and Development Services
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
Review and
implement
CloudPermit
customer payment
integration
Goal –Tillsonburg will strive for excellence and account ability in
government, providing effective and efficient services,
information and opportunities to shape municipal in itiatives.
Strategic Direction – N/A
Priority Project - N/A
Chief Building
Official
- Q2
Complete Amanda
/ CloudPermit
Integration
(CWFD)
Goal – Through community and regional partnerships, Tills onburg will
attract and retain a diverse range of businesses, creating employment
opportunities for residents and a balanced tax base.
Strategic Direction – Continue to streamline and expedite the building
approval process.
Priority Project - Ongoing -Continued roll-out and resourcing for Cloud
based permit application system
Chief Building
Official
-
(Oxford
County
Funded)
Q1
Inspector Training
/ Consistency &
Policy Review
Program
Goal – Tillsonburg will strive for excellence and account ability in
government, providing effective and efficient services, information and
opportunities to shape municipal initiatives.
Strategic Direction - Position Tillsonburg as a leader in the municipal sector.
Priority Project - N/A
Deputy Chief
Building Official
$2500 Ongoing
2022 Building
Code Amendments
– Notify/educate
designers,
contractor and
general public
Goal – Tillsonburg will strive for excellence and account ability in
government, providing effective and efficient services, information and
opportunities to shape municipal initiatives.
Strategic Direction - Position Tillsonburg as a leader in the municipal sector.
Priority Project - N/A
Deputy Chief
Building Official
$1000 Ongoing
Page 74 of 234
5
2022 Business Objectives
2022 Business Plan | Operations and Development Services
Project Community Strategic Plan Lead
Accountability
Project Cost Anticipated
Completion
By-Law Reviews –
Building By-Law
(CFWD),
Garbage/Dumping
By-Law (CFWD),
Pool Enclosure By-
law
Goal – Tillsonburg will strive for excellence and account ability in
government, providing effective and efficient services, information and
opportunities to shape municipal initiatives.
Strategic Direction - Position Tillsonburg as a leader in the municipal sector.
Priority Project - N/A
Chief Building
Official
$2500 Q4
Central Area
Design Study –
Façade
Improvement
Program
Goal – The Town of Tillsonburg will accommodate and suppo rt sustainable
growth.
Strategic Direction – Promote, preserve and enhance the downtown core
as the retail centre and community hub for Tillsonbu rg.
Priority Project - N/A
Development
Technician
-
Funded from
Economic
Development
Q4
Implement
Planning
Application Web
Portal & Digital
Service Delivery
Goal – Through community and regional partnerships, Tills onburg will
attract and retain a diverse range of businesses, creating employment
opportunities for residents and a balanced tax base.
Strategic Direction – Continue to streamline and expedite the building
approval process.
Priority Project – Ongoing -Continued roll-out and resourcing for Cloud
based permit application system
Chief Building
Official
-
(Oxford
County
Funded)
Q4
Page 75 of 234
6
2022 Business Objectives
2022 Business Plan | Operations and Development Services
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
Review of Planning
Process &
Procedures (CFWD)
Goal – Through community and regional partnerships, Tillsonburg will attract
and retain a diverse range of businesses, creating employment opportunities
for residents and a balanced tax base.
Strategic Direction – Continue to streamline and expedite the building
approval process.
Priority Project - N/A
County Planner - Q3
Review and
Implement
Planning Options
related to MMAH
More Homes, More
Choice: Ontario’s
Housing Supply
Action Plan -
secondary dwelling
units, tiny homes,
etc. (CFWD)
Goal – Within the community, Tillsonburg will strive to offer residents the
amenities, services and attractions they require to enjoy balanced lifestyles.
Strategic Direction –Work with Oxford County and community partner s to
ensure an adequate supply of affordable, attainable housing options.
Priority Project- Immediate - Affordable housing collaboration with O xford
County.
Goal – The Town of Tillsonburg will accommodate and suppo rt sustainable
growth.
Strategic Direction –Work with Oxford County and the development
community to proactively plan for a variety of housing options that are
affordable and attainable for current and prospective residents.
Priority Project - Immediate -Attainable housing plan.
Chief Building
Official
- Q2
Building/By-Law
Communications &
Compliance Blitz
Goal – Within the community, Tillsonburg will strive to offer residents the
amenities, services and attractions they require to enjoy balanced lifestyles.
Strategic Direction – N/A
Priority Project - Short Term - Property standards review and enforcement
plan
Future Building-
By-Law
Compliance
Supervisor
New FTE
split with
Building
&
Protection
Q4
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7
2022 Business Plan | Operations and Development Services
2022 Capital Summary
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
Woodcock
Drive and
Pheasant Crt –
Design
Goal –Tillsonburg residents and businesses will be connec ted to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Develop a robust, long-term asset management plan to
inform evidence-based decisions on the maintenance, rehabilitation and
replacement of municipal infrastructure.
Priority Project – Ongoing -Asset Management Plan
Manager of
Engineering
$180,000 Q3
Cranberry Rd -
Design
Goal –Tillsonburg residents and businesses will be connec ted to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Develop a robust, long-term asset management plan to
inform evidence-based decisions on the maintenance, rehabilitation and
replacement of municipal infrastructure.
Priority Project – Ongoing -Asset Management Plan
Manager of
Engineering
$260,000 Q3
Kinsmen
Bridge -
Design
Goal –Tillsonburg residents and businesses will be connected to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Provide alternatives to automobile travel through active
transportation and public transit.
Priority Project –N/A
Manager of
Engineering
$120,000 Q4
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8
2022 Business Plan | Operations and Development Services
2022 Capital Summary
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
3D Lidar –
Manhole
Condition
Assessment
Goal –Tillsonburg residents and businesses will be connec ted to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Develop a robust, long-term asset management plan to
inform evidence-based decisions on the maintenance, rehabilitation and
replacement of municipal infrastructure.
Priority Project – Ongoing -Asset Management Plan
Manager of
Engineering
$170,000 Q4
Connecting
Link -Hwy #3
to Town limits
Goal –Tillsonburg residents and businesses will be connec ted to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Develop a robust, long-term asset management plan to
inform evidence-based decisions on the maintenance, rehabilitation and
replacement of municipal infrastructure.
Priority Project – Ongoing -Asset Management Plan
Manager of
Engineering
$631,200 Q4
Stoney Creek
Sanitary Sewer
Retaining Walls
- Design
Goal –N/A
Strategic Direction – N/A
Priority Project –N/A
Manager of
Engineering
$109,901 Q4
Bus Stop
Shelter
Installation
Goal –Tillsonburg residents and businesses will be connected to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Provide alternatives to automobile travel through active
transportation and public transit.
Priority Project –N/A
Transit
Coordinator
$340,000 Q2
Page 78 of 234
9
2022 Business Plan | Operations and Development Services
2022 Capital Summary
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
Beech Blvd and
Stoney Creek -
Retaining Walls
Reconstruction
Goal –Tillsonburg residents and businesses will be connec ted to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Develop a robust, long-term asset management plan to
inform evidence-based decisions on the maintenance, rehabilitation and
replacement of municipal infrastructure.
Priority Project – Ongoing -Asset Management Plan
Manager of
Engineering
$1,176,000 Q3
Lindsay St
Reconstruction
Goal –Tillsonburg residents and businesses will be connec ted to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Develop a robust, long-term asset management plan to
inform evidence-based decisions on the maintenance, rehabilitation and
replacement of municipal infrastructure.
Priority Project – Ongoing -Asset Management Plan
Manager of
Engineering
$1,518,929 Q3
Frances St
Reconstruction
Goal –Tillsonburg residents and businesses will be connec ted to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Develop a robust, long-term asset management plan to
inform evidence-based decisions on the maintenance, rehabilitation and
replacement of municipal infrastructure.
Priority Project – Ongoing -Asset Management Plan
Manager of
Engineering
$1,861,913 Q3
Page 79 of 234
10
2022 Capital Summary
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
2022 Asphalt
Program
Goal –Tillsonburg residents and businesses will be connec ted to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Develop a robust, long-term asset management plan to
inform evidence-based decisions on the maintenance, rehabilitation and
replacement of municipal infrastructure.
Priority Project – Ongoing -Asset Management Plan
Manager of
Engineering
$400,000 Q3
2022 Sidewalk
Connectivity
Program
Goal –Tillsonburg residents and businesses will be connec ted to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Provide alternatives to automobile travel through active
transportation and public transit.
Priority Project –N/A
Manager of
Engineering
$100,000 Q3
2022 Sidewalk
Inspection
Program
Goal –Tillsonburg residents and businesses will be connected to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Develop a robust, long-term asset management plan to
inform evidence-based decisions on the maintenance, rehabilitation and
replacement of municipal infrastructure.
Priority Project – Ongoing -Asset Management Plan
Manager of
Engineering
$25,000 Q4
2022 Business Plan | Operations and Development Services
Page 80 of 234
11
2022 Capital Summary
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
Salt Storage
Construction
Goal –The Town of Tillsonburg will accommodate and suppor t sustainable
growth.
Strategic Direction –Plan and develop a long-term financing strategy for new
services and infrastructure to support growth.
Priority Project –N/A
Manager of
Public Works
$475,000 Q4
Fleet Facility
Expansion -
Design
Goal –The Town of Tillsonburg will accommodate and suppor t sustainable
growth.
Strategic Direction –Plan and develop a long-term financing strategy for new
services and infrastructure to support growth.
Priority Project –N/A
Manager of
Public Works
$120,000 Q4
Transportation
Master Plan
Goal –Tillsonburg residents and businesses will be connected to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Develop a multi-modal transportation network with
improved connectivity to the 401 and VIA Rail.
Strategic Direction –Provide alternatives to automobile travel through active
transportation and public transit.
Priority Project – Short Term -Transportation Master Plan
Director of
Operations and
Development
$80,000 Q4
2021 CFWD -
General
Aviation
Access Road
Goal –Tillsonburg residents and businesses will be connected to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Leverage the municipal airport more effectively to increase
access, visibility and business activity in Tillson burg.
Priority Project – Immediate Term -Airport Master Plan and implementation
Manager of
Engineering
- Q3
2022 Business Plan | Operations and Development Services
Page 81 of 234
12
2022 Capital Summary
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
2020 CFWD -
Young Street
Storm Outlet
Class
Environmental
Assessment
Goal –Tillsonburg residents and businesses will be connec ted to each other,
regional networks and the world through effective traditional and digital
infrastructure.
Strategic Direction –Develop a robust, long-term asset management plan to
inform evidence-based decisions on the maintenance, rehabilitation and
replacement of municipal infrastructure.
Priority Project – Ongoing -Asset Management Plan
Manager of
Engineering
- Q3
2022 Business Plan | Operations and Development Services
Page 82 of 234
13
2022 Capital Summary
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
Replace Roads
Unit 80 -
Loader
Goal –The Town of Tillsonburg will strive for excellence and accountability in
government, providing effective and efficient services, information, and
opportunities to shape municipal initiatives.
Strategic Direction –N/A
Priority Project –N/A
Manager of
Public Works
$280,000 Q4
Replace Roads
Unit 63 -
Snowplow/san
der
Goal –The Town of Tillsonburg will strive for excellence and accountability in
government, providing effective and efficient services, information, and
opportunities to shape municipal initiatives.
Strategic Direction –N/A
Priority Project –N/A
Manager of
Public Works
$360,000 Q2 2024
Replace Roads
Unit 203 - Zero
turn mower
Goal –The Town of Tillsonburg will strive for excellence and accountability in
government, providing effective and efficient services, information, and
opportunities to shape municipal initiatives.
Strategic Direction –N/A
Priority Project –N/A
Manager of
Public Works
$20,000 Q4
Replace Roads
Unit 98 -
Trackless Flail
mower
Goal –The Town of Tillsonburg will strive for excellence and accountability in
government, providing effective and efficient services, information, and
opportunities to shape municipal initiatives.
Strategic Direction –N/A
Priority Project –N/A
Manager of
Public Works
$15,000 Q2
Replace Roads
Unit 135 -
Trackless
Boom Flail
Goal –The Town of Tillsonburg will strive for excellence and accountability in
government, providing effective and efficient services, information, and
opportunities to shape municipal initiatives.
Strategic Direction –N/A
Priority Project –N/A
Manager of
Public Works
$25,000 Q2
2022 Business Plan | Operations and Development Services
Page 83 of 234
14
2022 Capital Summary
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
New Sidewalk
Plow for Roads
Goal –The Town of Tillsonburg will accommodate and suppor t sustainable
growth.
Strategic Direction –Plan and develop a long-term financing strategy for new
services and infrastructure to support growth.
Priority Project –N/A
Manager of
Public Works
$165,000 Q1
2021 CFWD -
Replace Water
Unit 28 -
Pickup Truck
Goal –The Town of Tillsonburg will strive for excellence and accountability in
government, providing effective and efficient services, information, and
opportunities to shape municipal initiatives.
Strategic Direction –N/A
Priority Project –N/A
Manager of
Public Works
- Q1
2021 CFWD -
Replace Fire
Unit 37 -
Pickup Truck
Goal –The Town of Tillsonburg will strive for excellence and accountability in
government, providing effective and efficient services, information, and
opportunities to shape municipal initiatives.
Strategic Direction –N/A
Priority Project –N/A
Manager of
Public Works
- Q3
2021 CFWD -
Replace Fire
Unit 38 -
Pickup Truck
Goal –The Town of Tillsonburg will strive for excellence and accountability in
government, providing effective and efficient services, information, and
opportunities to shape municipal initiatives.
Strategic Direction –N/A
Priority Project –N/A
Manager of
Public Works
- Q3
2021 CFWD -
Replace Hydro
Unit 65 -
Pickup Truck
Goal –The Town of Tillsonburg will strive for excellence and accountability in
government, providing effective and efficient services, information, and
opportunities to shape municipal initiatives.
Strategic Direction –N/A
Priority Project –N/A
Manager of
Public Works
- Q1
2022 Business Plan | Operations and Development Services
Page 84 of 234
15
2022 Capital Summary
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
2021 CFWD –
New
Park/Facilities
Unit – Mini
cargo van
Goal –The Town of Tillsonburg will accommodate and suppor t sustainable
growth.
Strategic Direction –Plan and develop a long-term financing strategy for new
services and infrastructure to support growth.
Priority Project –N/A
Manager of
Public Works
- Q3
2021 CFWD -
Replace
Cemetery Unit
87 - Backhoe
Goal –The Town of Tillsonburg will strive for excellence and accountability in
government, providing effective and efficient services, information, and
opportunities to shape municipal initiatives.
Strategic Direction –N/A
Priority Project –N/A
Manager of
Public Works
- Q3
2021 CFWD –
New Cemetery
Unit – Mower
tractor with
attachment
Goal –The Town of Tillsonburg will accommodate and suppor t sustainable
growth.
Strategic Direction –Plan and develop a long-term financing strategy for new
services and infrastructure to support growth.
Priority Project –N/A
Manager of
Public Works
- Q2
2022 Business Plan | Operations and Development Services
Page 85 of 234
16
Risks
• As development proceeds along West Town Line the need to negoti ate a
new Boundary Road Agreement is critical in sharing future road ca pital
and operating costs.
• Inclusion of all Corporate assets and improved capital planning b ased on
detailed AMP analysis is essential to continue eligibility for future grant
funding opportunities, position the Town to meet the legislati ve deadlines
of O.Reg. 588/17, and transition towards a Level of Service based
Comprehensive Asset Management Plan.
• Complex development/construction projects along with ongoin g
increased volumes require significant amount of staff time result ing in
longer turn around times which can discourage development.
• Increase in the number of inspectors can cause inconsistencies.
• Ontario Building Code Changes cause frustration for contracto rs,
developers and owners which require additional staff time/re sources to
educate.
2022 Business Plan | Operations and Development Services
Page 86 of 234
17
Risks
• Increase in inquiries/complaint volumes result in longer respons e times
reducing customer service.
• Lack of a planning web portal/digital service causes delays and de veloper
frustrations.
2022 Business Plan | Operations and Development Services
Page 87 of 234
18
Opportunities
• Implementation of an annual traffic count program.
• Boundary agreements with lower-tier and single-tier munici palities.
• Investigation of private woodlot removal options east of main Ru nway 08-
26 is key in order to benefit from the full 5,502’ runway.
• Continue discussions on inter-community transit service sustainabil ity.
• Review of Planning and Development division.
• Continue implementation of records management within Publ ic Works,
Engineering and Water/Wastewater.
• Continue implementation of Corporate service request and work order
management system.
• Implementation of the corporate leased ownership, maintena nce, and
management program for the light duty fleet.
• Continue Implementation of manhole condition assessment progr am.
2022 Business Plan | Operations and Development Services
Page 88 of 234
19
Opportunities
• Improvement of departmental communications to community and
development industry creates positive outcomes and transparency.
• Strategic organization of personnel and ongoing training re duces liability,
provides consistency and business continuity.
• Implementation of a planning application web portal and dig ital review
process will provide multiple efficiencies for the development co mmunity
and streamline development approvals.
• Ongoing review of Central Area Design Study will provide a fra mework for
future opportunity and development of the downtown BIA area.
• By-Law review provides updates and clarification that are rel evant to
current public needs.
2022 Business Plan | Operations and Development Services
Page 89 of 234
20
Future Departmental
Directions: 3 year outlook
2023
• Continue Inter-Community Transit Service pilot project
• Rehabilitate/Replace infrastructure identified as high risk priority in the Asset
Management Plan
• Continue annual sidewalk inspection program
• Implement Watermain Directional Flushing Program
• Implement Sewer flushing and CCTV annual program
• Continue annual Traffic Count Program
• Pursue available Provincial and Federal capital funding opport unities
• Implement Kinsmen Pedestrian Bridge decision
• Continue By-annual Bridge and Culvert inspection program
2022 Business Plan | Operations and Development Services
Page 90 of 234
21
Future Departmental
Directions: 3 year outlook
2023
• Ontario Building Code Act – re-evaluate service review
• Affordable housing collaboration with Oxford County
• Central Area Design Study
• By-Law & Policy Review
2022 Business Plan | Operations and Development Services
Page 91 of 234
22
Future Departmental
Directions: 3 year outlook
2024
• Continue Inter-Community Transit Service pilot project
• Rehabilitate/Replace infrastructure identified as high risk priority in the Asset
Management Plan
• Continue annual Sidewalk inspection program
• Continue Watermain Directional Flushing Program
• Continue Sewer flushing and CCTV annual program
• Continue Annual Traffic Count Program
• Pursue available Provincial and Federal capital funding opport unities
• Review Building & Planning digital service delivery
• Affordable housing collaboration with Oxford County
• Central Area Design Study
• By-Law Review
2022 Business Plan | Operations and Development Services
Page 92 of 234
23
Future Departmental
Directions: 3 year outlook
2025
• Continue Inter-Community Transit Service pilot project
• Rehabilitate/Replace infrastructure identified as high risk priority in the Asset
Management Plan
• Continue annual sidewalk inspection program
• Continue Watermain Directional Flushing Program
• Continue Sewer flushing and CCTV annual program
• Continue Annual Traffic Count Program
• Continue By-annual Bridge and Culvert inspection program
• Pursue available Provincial and Federal capital funding opport unities.
• Central Area Design Study
• By-Law Review
2022 Business Plan | Operations and Development Services
Page 93 of 234
2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
User Charges -1,502,300 -1,552,400 -50,100 3.3%1
Total Revenues -1,502,300 -1,552,400 -50,100 3.3%
Expenditures
Labour 331,700 343,300 11,600 3.5%
Purchases 576,000 608,400 32,400 5.6%2
Contracted Services 7,500 8,500 1,000 13.3%
Contribution to Reserves 100,000 100,000
Interfunctional Adjustments 8,200 9,500 1,300 15.9%
Debt Principal & Interest 452,300 498,300 46,000 10.2%3
Total Expenditures 1,475,700 1,568,000 92,300 6.3%
Total Net Levy -26,600 15,600 42,200 (158.6%)
Notes:
1 New Units
2 Equipment Supplies& Repairs; Fuel & Oil; Licence Ex pense
3 Corporate Fleet Replacements
24
Page 94 of 234
2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
Total Revenues
Expenditures
Labour 253,300 272,900 19,600 7.7%1
Purchases 15,000 12,600 -2,400 (16.0%)
Interfunctional Adjustments -24,000 -24,500 -500 2.1%
Total Expenditures 244,300 261,000 16,700 6.8%
Total Net Levy 244,300 261,000 16,700 6.8%
Notes:
1 Annual increases
25
Page 95 of 234
2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
Grants -50,000 -70,000 -20,000 40.0%1
User Charges -128,000 -151,000 -23,000 18.0%2
Total Revenues -178,000 -221,000 -43,000 24.2%
Expenditures
Labour 604,000 641,400 37,400 6.2%3
Purchases 28,500 101,200 72,700 255.1%4
Contracted Services 50,000 50,000
Interfunctional Adjustments -222,000 -212,600 9,400 (4.2%)
Total Expenditures 460,500 580,000 119,500 26.0%
Total Net Levy 282,500 359,000 76,500 27.1%
Notes:
1 Modernization Intake 3 funding
2 Increased revenue from Oxford County - County Assets
3 Annual increases
3 Strategic Plan initiatives
26
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2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
Grants -90,000 -135,200 -45,200 50.2%1
Total Revenues -90,000 -135,200 -45,200 50.2%
Expenditures
Labour 1,075,400 1,119,000 43,600 4.1%
Purchases 617,800 705,900 88,100 14.3%2
Contracted Services 322,000 299,300 -22,700 (7.0%)3
Interfunctional Adjustments 480,600 507,900 27,300 5.7%4
Debt Principal & Interest 555,800 543,400 -12,400 (2.2%)
Total Expenditures 3,051,600 3,175,500 123,900 4.1%
Total Net Levy 2,961,600 3,040,300 78,700 2.7%
Notes:
1 Increased revenue from The County
2 Supplies, Insurance, HLW
3 Subcontractor Expense
4 Fleet Charges allocations
27
Page 97 of 234
2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
Levy, PILS -140,500 -146,600 -6,100 4.3%
Total Revenues -140,500 -146,600 -6,100 4.3%
Expenditures
Labour 32,200 32,200
Purchases 10,000 12,500 2,500 25.0%
Contracted Services 35,000 35,000
Contribution to Reserves 4,100 8,000 3,900 95.1%
Interfunctional Adjustments 46,100 46,100
Debt Principal & Interest 13,100 12,800 -300 (2.3%)
Total Expenditures 140,500 146,600 6,100 4.3%
Total Net Levy
Notes:
28
Page 98 of 234
2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
Grants -50,000 -50,000
User Charges -387,300 -385,800 1,500 (0.4%)
Total Revenues -437,300 -435,800 1,500 (0.3%)
Expenditures
Labour 122,600 -122,600 (100.0%)1
Purchases 251,100 260,800 9,700 3.9%
Contracted Services 33,500 153,500 120,000 358.2%2
Interfunctional Adjustments 20,600 13,700 -6,900 (33.5%)3
Debt Principal & Interest 5,500 5,300 -200 (3.6%)
Total Expenditures 433,300 433,300
Total Net Levy -4,000 -2,500 1,500 (37.5%)
Notes:
1 Staff costs to be replaced with a third party contractor
2 Sub Contractor Expense
3 Fleet Charges allocation
29
Page 99 of 234
2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
Grants -138,300 -167,700 -29,400 21.3%1
User Charges -126,400 -129,400 -3,000 2.4%
Total Revenues -264,700 -297,100 -32,400 12.2%
Expenditures
Labour 84,100 84,100 0.0%
Purchases 110,000 216,100 106,100 96.5%2
Contracted Services 107,000 107,000 0.0%
Interfunctional Adjustments 132,800 134,400 1,600 1.2%
Total Expenditures 433,900 541,600 107,700 24.8%
Total Net Levy 169,200 244,500 75,300 44.5%
Notes:
1 Revenue from the County & Modernization Intake 3 funding
2 Strategic Plan Initiatives
30
Page 100 of 234
2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
Grants -507,200 -523,500 -16,300 3.2%
User Charges -47,200 -36,200 11,000 (23.3%)1
Total Revenues -554,400 -559,700 -5,300 1.0%
Expenditures
Labour 91,600 82,500 -9,100 (9.9%)2
Purchases 42,400 47,600 5,200 12.3%3
Contracted Services 584,700 601,800 17,100 2.9%
Interfunctional Adjustments 8,500 8,900 400 4.7%
Total Expenditures 727,200 740,800 13,600 1.9%
Total Net Levy 172,800 181,100 8,300 4.8%
Notes:
1 Reduced fares revenue
2 Full time labour
3 Special Projects - Spare App
31
Page 101 of 234
2021 2022 Budget % Note
Budget Budget Variance Variance Reference
Revenues
User Charges -74,300 -74,400 -100 0.1%
Total Revenues -74,300 -74,400 -100 0.1%
Expenditures
Labour 237,700 256,800 19,100 8.0%1
Purchases 32,900 34,600 1,700 5.2%
Contracted Services 15,000 15,000
Interfunctional Adjustments 29,200 33,300 4,100 14.0%
Total Expenditures 314,800 339,700 24,900 7.9%
Total Net Levy 240,500 265,300 24,800 10.3%
Notes:
1 New FTE request shared with Building Department
32
Page 102 of 234
2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
User Charges -801,500 -961,500 -160,000 20.0%1
Contribution from Reserves -14,400 -14,400 2
Total Revenues -801,500 -975,900 -174,400 21.8%
Expenditures
Labour 459,200 666,300 207,100 45.1%3
Purchases 64,900 75,500 10,600 16.3%4
Contracted Services 14,000 98,000 84,000 600.0%5
Contribution to Reserves 174,100 29,600 -144,500 (83.0%)6
Interfunctional Adjustments 89,300 106,500 17,200 19.3%7
Total Expenditures 801,500 975,900 174,400 21.8%
Total Net Levy
Notes:
1 Increased Revenue from Permits
2 To fund contract exentsion
3 New FTE request, Contract positon to Full time
4 Supplies, Insurance
5 Legal & Subcontractor Expense
6 Projected surplus contributed to Building Reserve
7 IT charge allocations
33
Page 103 of 234
2022 Capital Project Listing - New Projects (Draft)
Project # Contribution Grants Grants Tax Supported Reserves DC DC Donations Miscellaneous User Pay Taxation Project Priority ITEM
in FMW Expenditures to Reserves Oxford County Fed & Prov Debt Reserves - w/o Exemptions Reserves - with Exemptions Debt Ranking Code #
Project Listing
130 Fleet
Replace Roads Unit #80 - Loader
X88
250,000 0 250,000 2 A – Must do this year
3- Regular replacement program-
existing service level
Replace Roads Unit #63 - Snowplow/Sander
X87
280,000 0 -280,000 0 1 A – Must do this year
3- Regular replacement program-
existing service level
Replace Roads Unit #203 - Zero Turn Mower
X86
10,000 0 10,000 3 A – Must do this year
3- Regular replacement program-
existing service level
Replace Roads Unit #98 - Trackless Flail Mower
X85
15,000 0 15,000 5 A – Must do this year
3- Regular replacement program-
existing service level
Replace Roads Unit #135 - Trackless Boom Flail
X84
25,000 0 25,000 6 A – Must do this year
3- Regular replacement program-
existing service level
New Sidewalk Plow for Roads
X83
165,000 0 -165,000 37,950 38,000 4 A – Must do this year
4- Increased due to growth-related
Total 130 Fleet 745,000 0 0 -280,000 0 -165,000 37,950
0 0 0 338,000
210 Engineering
Woodcock and Pheasant Design
X82
90,000 90,000 4 A – Must do this year
3- Regular replacement program-
existing service level
3D Lidar – Manhole Condition Assessment
X81
85,000 0 85,000 1 A – Must do this year
2 - Security/Risk Management/H&S
Cranberry Rd Design
X79
130,000 -91,200 27,230 66,000 3 A – Must do this year
4- Increased due to growth-related
Kinsmen Bridge Design
X80
120,000 -120,000 0 5 B – Must do next year
2 - Security/Risk Management/H&S
Transportation Master Plan
X78
80,000 -60,000 13,200 33,200 2 B – Must do next year
6 - Strategic initiative (approved by
Council)
Total 210 Engineering 505,000 0 -151,200 40,430 0 0 0 274,200
220 Public Works
Beech Blvd and Stoney Creek Retaining Walls
X76
940,800 -294,000 -646,800 0 1 A – Must do this year
2 - Security/Risk Management/H&S
Lindsay St Reconstruction
X75
541,200 -386,000 155,200 2 A – Must do this year
3- Regular replacement program-
existing service level
Frances St Reconstruction
X74
663,400 -220,000 443,400 3 A – Must do this year
3- Regular replacement program-
existing service level
2022 Asphalt Program
X73
400,000 -400,000 0 4 A – Must do this year
3- Regular replacement program-
existing service level
2022 Sidewalk Connectivity Program
X72
100,000 -90,000 20,700 30,700 5 B – Must do next year
6 - Strategic initiative (approved by
Council)
Sidewalk Inspection Program X71 25,000 25,000 7 A – Must do this year 1 - Statutory/Legal requirement
Salt Storage Construction
X70
475,000 -96,916 22,291 400,400 6 A – Must do this year
4- Increased due to growth-related
Fleet Facility Expansion - Design
X69
120,000 (120,000) 27,600 27,600 8 B – Must do next year
4- Increased due to growth-related
Connecting Link -Hwy #3 to Town limits
X67
631,200 -558,900 72,300 9 A – Must do this year
3- Regular replacement program-
existing service level
Total 220 Public Works 3,896,600 0 -1,858,900 -646,800 0 -306,916 70,591 0 0 0 1,154,600
250 Sanitary Sewers
3D Lidar – Manhole Condition Assessment
X81
85,000 -85,000 1 A – Must do this year
2 - Security/Risk Management/H&S
Woodcock and Pheasant Design
X82
45,000 -45,000 5 A – Must do this year
3- Regular replacement program-
existing service level
Lindsay St Reconstruction
X75
295,154 -295,154 0 2 A – Must do this year
3- Regular replacement program-
existing service level
Frances St Reconstruction
X74
361,802 -361,802 0 3 A – Must do this year
3- Regular replacement program-
existing service level
Cranberry Rd Design
X79
65,000 -65,000 4 A – Must do this year
4- Increased due to growth-related
Stoney Creek Sanitary Retaining Walls- Design
X65
109,901 -109,901 6 A – Must do this year
3- Regular replacement program-
existing service level
Total 250 Sanitary Sewers 961,856 -961,856
260 Storm Sewers
Beech Blvd and Stoney Creek Retaining Walls
X76
235,200 -235,200 0 1 A – Must do this year
3- Regular replacement program-
existing service level
Lindsay St Reconstruction
X75
266,200 266,200 2 A – Must do this year
3- Regular replacement program-
existing service level
Frances St Reconstruction
X74
326,300 326,300 3 A – Must do this year
3- Regular replacement program-
existing service level
Van Street
X64
25,000 25,000 4 A – Must do this year
3- Regular replacement program-
existing service level
Total 260 Storm Sewers 852,700 0 0 -235,200 0 0 0 0 0 617,500
34
Page 104 of 234
2022 Capital Project Listing - New Projects (Draft)
Project # Contribution Grants Grants Tax Supported Reserves DC DC Donations Miscellaneous User Pay Taxation Project Priority ITEM
in FMW Expenditures to Reserves Oxford County Fed & Prov Debt Reserves - w/o Exemptions Reserves - with Exemptions Debt Ranking Code #
270 Water
Woodcock and Pheasant Design
X82
45,000 -45,000 4 A – Must do this year
3- Regular replacement program-
existing service level
Lindsay St Reconstruction
X75
416,375 -416,375 0 1 A – Must do this year
3- Regular replacement program-
existing service level
Frances St Reconstruction
X74
510,395 -510,395 0 2 A – Must do this year
3- Regular replacement program-
existing service level
Cranberry Rd Design
X79
65,000 -65,000 3 A – Must do this year
4- Increased due to growth-related
Total 270 Water 1,036,771 -1,036,771 0
480 Transit
Bus Stop Shelter Installation X46 340,000 -272,000 68,000 1 B – Must do next year 5 - Expand service level
Total 480 Transit Services 340,000 -272,000 68,000
Total 8,337,927 -1,998,627 -2,130,900 -1,162,000 0 -623,116 148,971 0 0 0 2,452,300
35
Page 105 of 234
Roads 80 Komatsu Heavy Duty Machinery Komatsu Loader Roads 2001 $280,000 $280,000 0% Highly Probable 4.0 Moderate High
Unit is multi-seasonal with snow removal assignments, heavy
brush and yard waste disposal duties as well as general roads
maintenance and repair. The cab frame has suffered corrosion
and structural damage around the front windshield and "A" pillar
compromising cab roll over integrity. Cab floor has also
sufferered from extensive corrosion around the control pedals
and integrity is questionable. Roads has requested an additional
grapple bucket for use at the Depot . AMI Attachments has
quoted $30,000 for bucket. Additional hydraulics will be required
on the loader as well as a quick connect attachment. Estimated
delivery time for a new machine is 6-8 months
Roads 63 Peterbilt/Viking Heavy Duty Machinery Snowplow/sander Roads 2006 $360,000 $360,000 0% Highly Probable 4.0 Major Extreme
Extensive corrosion damage to cab frame , cab mounts and cab
flooring. Extensive rust jacking in frame rails. Estimated delivery
of completed unit is 18-24 months depending on supply chain
issues
Roads 203 Cub cadet Off Road Zero turn mower 2016 $20,000 $20,000 40% Highly Probable 2.0 Minor High
Unit has already suffered major structural frame damage and
engine repairs and will continue to fail if unit remains in service.
Recommend replacement with a severe duty Commercial grade
unit. Delivery of a new machine is approximately 2-4 months if not
already in stock.
Roads 98 Trackless Attachment Trackless Flail mower Roads 2016 $15,000 $15,000 40% Likely 3.0 Moderate High
Unit is a ground engaging attachment and has experienced high
wear and component damage to gauge roller and flail rotor.
Failure to PTO gearbox is expected. Delivery of a new machine
would be approximately 2-4 weeks
Roads 135 Trackless Attachment Trackless Boom Flail Roads 2010 $25,000 $25,000 0% Highly Probable 3.0 Major High
Unit has exceeded its expected lifecycle of 10 years. Unit is
special purpose and no spare unit exists in the event of
breakdown resulting in service disruption. Expect hydraulic pump
and hydraulic drive motor failures . Estimated delivery time for a
new machine is 2-4 weeks
Roads NEW Off Road New Sidewalk Plow for Roads $165,000 $165,000 100% DC Recoverable
Unit Replacement Sub-Total $865,000 $865,000
Savings $0
Consequence of
Failure
Description
Comments
Consequence of Failure
Type of
Service
Score
New Unit
Replacement
Cost Estimate
Alternative
Replacement
Cost Estimate
Probability of Failure
% Remaining
Service Life
(%RSL)
Probability of
Failure
Description
Description
Replacement Options
Overall Asset Risk
Asset Management Fleet Replacement Strategy - 2022 Capital Plan
YearDepartmentVehicle
Number Make Type
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Town of
Tillsonburg
2022
Business Plan
Fire & Rescue Services
November 29, 2021
Page 146 of 234
2
2022 Business Objectives
2022 Business Plan | Fire and Rescue Services
Project Community Strategic Plan Lead
Accountability
Project Cost Anticipated
Completion
Facility Space Needs Study Goal – Lifestyle & Amenities
Strategic Direction – Develop a robust, long-term
asset management plan to inform evidence-based
decisions regarding the maintenance,
rehabilitation and replacement of community
facilities.
Priority Project- N/A
Fire Chief 100% Funded
Municipal
Modernization
Program
Q2
Negotiations with Fire
Fighters Association
Goal – Customer Service,
Communication and Engagement.
Strategic Direction – Enhance employee engagement
and training as the foundation for exceptional
customer service.
Priority Project- Employee Engagement Strategy
Fire Chief $0 Q4
Increase Fire Prevention
Inspection Program to
Satisfy Council Approved
Service Levels, Legislative
Compliance & Industry Best
Practices
Goal – The Town of Tillsonburg will strive
for excellence and accountability in
government, providing effective and
efficient services, information, and
opportunities to shape municipal
initiatives.
Priority Project- Municipal service review
Fire Chief $0 Ongoing
Page 147 of 234
3
2022 Business Objectives
2022 Business Plan | Fire and Rescue Services
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
Revise Emergency Management
Program & By-law & Complete
Annual Compliance Requirements
Goal – The Town of Tillsonburg will strive
for excellence and accountability in
government, providing effective and
efficient services, information, and
opportunities to shape municipal
initiatives.
Priority Project- Municipal service review
Fire Chief $0 Ongoing
Increase Training & Officer
Development Program to Satisfy
Council Approved Service Levels,
Legislative Compliance & Industry
Best Practices NFPA- Compliant
Goal – Customer Service,
Communication and Engagement.
Strategic Direction – Enhance employee engagement
and training as the foundation for exceptional
customer service.
Priority Project- Employee Engagement Strategy
Fire Chief $0 Ongoing
Increase Pre-incident Planning
Program to Satisfy Council
Approved Service Levels,
Legislative Compliance & Industry
Best Practices and improve FUS
insurance rating
Goal – The Town of Tillsonburg will strive
for excellence and accountability in
government, providing effective and
efficient services, information, and
opportunities to shape municipal
initiatives.
Priority Project- Municipal service review
Fire Chief $0 Ongoing
Develop PTSD, Cancer, Mental
Health Risk Reduction Program
Goal – Customer Service,
Communication and Engagement.
Strategic Direction – Enhance employee engagement
and training as the foundation for exceptional
customer service.
Priority Project- Employee Engagement Strategy
Fire Chief $0 Ongoing
Page 148 of 234
4
2022 Capital Summary
2022 Business Plan | Fire & Rescue Services
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
Bunker Gear Capital Replacement
Program
(Moved from Operating to Capital
replacement program. Operating
offset, $15,000)
Goal – Community Growth
Strategic Direction – Develop a long-term
financing strategy for new services and
infrastructure to support growth.
Priority Project- N/A
Fire Chief $15,000 Q2
Technical Rescue Equipment
Replacement Program
Goal – Community Growth
Strategic Direction – Develop a long-term
financing strategy for new services and
infrastructure to support growth.
Priority Project- N/A
Fire Chief $10,000 Q3
Tactical Radio Channel Recorder
(H&S Initiative)
Goal – Community Growth
Strategic Direction – Develop a long-term
financing strategy for new services and
infrastructure to support growth.
Priority Project- N/A
Fire Chief $8,000 Q1
Page 149 of 234
5
Risks
Resource capacity challenges identified in achievin g Council
approved service levels, legislative compliance or industry
standards and best practices related to:
• Emergency Response Times and Staffing (Fires)
• Fire Ground Supervision / Incident Command (OHSA)
• Fire Prevention Programs (Regulation)
• Fire Communications Staffing/Supervision (2 people 24/7)
• Fire Service Training Programs (OHSA/NFPA)
Additional resources are required to maintain servi ce levels,
meet legislative compliance and Industry standards and best
practices.
2022 Business Plan | Fire and Rescue Services
Page 150 of 234
6
Risks
• Decreased availability of staffing resources results in
increased response times, inadequate staffing levels
reduced firefighter safety and increased fire loss
• Increased call volume related to growth results in fewer
employers allowing firefighters to leave work to
respond to emergencies further reducing available
staffing resources for fire response
• Increased absence due to COVID -19, PTSD & Mental
Health increase staffing costs and reduces available
staffing resources.
2022 Business Plan | Fire and Rescue Services
Page 151 of 234
7
Opportunities
• Facility Space Needs Study will identify current and future
space requirements for fire services and help inform
decisions regarding future direction of Fire Servic e
facility(s).
• Increasing fire prevention and public education pr ogram
resources is shown to help reduce fire incidents and fire
loss and will assist in achieving Council approved service
levels, legislative compliance or industry standard s and best
practices.
• Increasing fire training and Officer development p rogram
resources to provide NFPA compliant training and incident
command program is required to achieve Council appr oved
service levels, legislative compliance or industry standards
and best practices, enhance safety and succession p lanning
2022 Business Plan | Fire and Rescue Services
Page 152 of 234
8
Opportunities
• Exploring alternative fire protection deployment mode ls
and partnerships may decrease response times, and
improve fire ground effectiveness and firefighter safety
• Increasing Fire Communications supervision and
staffing 2 people 24/7 to meet NFPA 1221 is a more
sustainable business model and will retain and grow
market share
• Increasing firefighter staffing will increase number of
available firefighters to respond to fires and increase
fire ground effectiveness and firefighter safety
2022 Business Plan | Fire and Rescue Services
Page 153 of 234
9
Opportunities
• Investment in PTSD, Mental Health and Occupational
Cancer risk reduction strategies can result in reduced
staffing costs and increase staff availability
• Increasing Smoke and CO alarm program resources
can reduce false alarms and demand on fire
suppression resources
• Increasing economic incentives can reduce false alarm
• Increasing pre-incident planning increases emergency
response effectiveness, safety and improves Fire
Underwriter insurance grading for residents and
businesses
2022 Business Plan | Fire and Rescue Services
Page 154 of 234
10
Future Departmental
Directions: 3 year outlook
• Continue to grow Fire Communications partnerships
• Develop a Master Fire Plan
• Determine future direction for fire station conceptual
design phase and timeline
• Officer development and succession planning
• Training to NFPA professional qualification standards
2022 Business Plan | Fire and Rescue Services
2023
Page 155 of 234
11
Future Departmental
Directions: 3 year outlook
• Complete 3
rd phase of NG-911 project, train staff and
operationalize NG-911
• Procure fire station build/renovation project
• Continue to grow Fire Communications partnerships
• Continue to Implement Master Fire Plan
• Officer development and succession planning
• Firefighter Dispatch Association negotiations (March)
2022 Business Plan | Fire and Rescue Services
2024
Page 156 of 234
12
Future Departmental
Directions: 3 year outlook
• Commence Construction phase of Fire Station
build/renovation project
• Continue to expand Fire Communications
partnerships
• Continue to implement Master Fire Plan
• Officer Development and succession planning
2022 Business Plan | Fire and Rescue Services
2025
Page 157 of 234
2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
User Charges -611,400 -796,200 -184,800 30.2%1
Total Revenues -611,400 -796,200 -184,800 30.2%
Expenditures
Labour 1,279,500 1,425,200 145,700 11.4%2
Purchases 220,500 202,100 -18,400 (8.3%)3
Contracted Services 138,700 130,700 -8,000 (5.8%)4
Contribution to Reserves 30,000 45,000 15,000 50.0%5
Interfunctional Adjustments 295,000 325,000 30,000 10.2%6
Debt Principal & Interest 70,300 90,800 20,500 29.2%7
Total Expenditures 2,034,000 2,218,800 184,800 9.1%
Total Net Levy 1,422,600 1,422,600
Notes:
1 Increased Fire Communications Revenue
2 New FTE Request plus part time increase
3 Training decrease; Safety Expense decrease
4 Equipment Maintenance Contract
5 Increased amount to Reserves -Fire Equipment
6 Fleet and IT charge allocations
7 Relating to new Fire Comm equipment
13
Page 158 of 234
2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
Grants -213,300 -97,000 116,300 (54.5%)1
User Charges -350,300 -333,900 16,400 (4.7%)
Total Revenues -563,600 -430,900 132,700 (23.5%)
Expenditures
Labour 27,200 27,600 400 1.5%
Purchases 77,300 77,200 -100 (0.1%)
Contracted Services 3,569,600 3,565,300 -4,300 (0.1%)
Total Expenditures 3,674,100 3,670,100 -4,000 (0.1%)
Total Net Levy 3,110,500 3,239,200 128,700 4.1%
Notes:
1 Community Safety & Police Grant
14
Page 159 of 234
2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
User Charges -582,400 -763,200 -180,800 31.0%1
Total Revenues -582,400 -763,200 -180,800 31.0%
Expenditures
Labour 638,800 721,900 83,100 13.0%2
Purchases 15,300 20,400 5,100 33.3%3
Contracted Services 109,900 87,800 -22,100 (20.1%)4
Interfunctional Adjustments -58,100 -56,200 1,900 (3.3%)
Debt Principal & Interest 49,700 70,900 21,200 42.7%5
Total Expenditures 755,600 844,800 89,200 11.8%
Total Net Levy 173,200 81,600 -91,600 (52.9%)
Notes:
1 Increased Fire Communications Revenue
2 New FTE request - shared duties
3 Special Project
4 Equipment Maintenance Contract
5 Relating to new Fire Comm equipment
15
Page 160 of 234
2022 Capital Project Listing - New Projects (Draft)
Project # Contribution Grants Grants Tax Supported Reserves DC DC Donations Miscellaneous User Pay Taxation Project Priority ITEM
in FMW Expenditures to Reserves Oxford County Fed & Prov Debt Reserves - w/o Exemptions Reserves - with Exemptions Debt Ranking Code #
Project Listing
150 Fire
H&S Tac Channel Recorder Radio X98 8,000 8,000 1 A – Must do this year
2 - Security/Risk Management/H&S
PPE Bunker Gear R&R X99 15,000
(8,800) 6,864 13,100 1 A – Must do this year
2 - Security/Risk Management/H&S
Fire Master Plan
X94 50,000
(37,500)
8,250 20,800
2 B – Must do next year
4- Increased due to growth-related
Tech Rescue Equip R&R (Rope, CF, HZM, Water etc.)
X93 10,000 10,000
1 A – Must do this year
2 - Security/Risk Management/H&S
Total 150 Fire 83,000 - - - - 15,114 - - - 51,900
16
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Page 165 of 234
White Paper : Assistant Chief of Fire Prevention & Training
21
White Paper:
Assistant Chief of
Fire Prevention & Training
Prepared for
2022 Budgetary Consideration
Page 166 of 234
White Paper : Assistant Chief of Fire Prevention & Training
22
Executive Summary
An operational review of the Fire Department consisting of a review of the Fire Department
Strategic Plan, Establishing and Regulating By-law, National Fire Protection Association
(NFPA) standards, applicable legislation, Municipal Fire Safety Guidelines, organizational
structure, and operational data identified resource capacity challenges in achieving Council
approved service levels, legislative compliance and/or industry standards and best practices
related to:
Emergency Response Times and Fire Ground Staffing (Fires)
Fire Ground Supervision and Incident Command
Fire Prevention & Education Programs
Fire Training Programs
Consultation with Fire Department Officers also identified capacity challenges related to
response times, fire ground staffing, supervision, fire prevention, training, maintenance and
inspection programs as areas that require additional staffing resources to ensure safety and
meet service demands.
The Fire Services Strategic Planning Committee identified the need for an additional full-
time staff member. The Committee identified challenges in daytime emergency response as
well as the Departments’ ability to deliver essential fire prevention programs, meet legislated
requirements and additional pressures related to community risk assessment and increasing
training demands.
Council approved an additional staff member for the Fire Department in 2019, however, the
position was not staffed. The delay in additional staffing resources combined with
organizational turnover has further hindered the Fire Department’s ability to meet Council
approved service levels, legislative compliance and/or industry standards and best
practices.
An Assistant Chief of Fire Prevention and Training FTE position is required to increase the
Fire Department’s capacity to deliver fire prevention, code enforcement, education and
training programs. Additionally, this position will increase emergency response
effectiveness, fire ground staffing and supervisory capabilities.
The newly restructured Assistant Chief of Fire Prevention and Training position results in a
savings of ~$18,500 and will assist the Fire Department in achieving Council approved
service levels, legislative compliance and industry best practices.
Page 167 of 234
White Paper : Assistant Chief of Fire Prevention & Training
23
Background
The Town of Tillsonburg is growing and the Fire Department must keep pace with demand
for fire protection service delivery. The Fire Department consists of a full-time Fire Chief,
Acting Deputy Chief, and 5 Dispatchers.
The Suppression division is staffed by highly dedicated and committed paid-on-call
members consisting of; (2) Platoon Chiefs (4) Captains (4) Lieutenants and (20) Firefighters.
The Fire Department does not currently have a full-time Fire Prevention or Training Officer.
Tillsonburg is an urban paid-on-call Fire Department that responds to over 400 incidents a
year. It services a growing population of 15,872 and a response area of 22.33 Km2 with a
population density of 710.8Km2 (1841/Sq. mi) based on 2016 census data.
Legislative Framework
The Fire Protection and Prevention Act (FPPA) requires municipalities to establish a fire
department or appoint a Community Fire Safety Officer or Team. In accordance with the
FPPA the Fire Chief is ultimately responsible to Council for the delivery of fire protection
services. The FPPA further requires municipalities to provide programs including public
education with respect to fire safety and components of fire prevention as well as fire
suppression services and other fire protection services (rescue, medical, extrication, CO,
communications, training etc.) in accordance with its needs and circumstances. Program
requirements are specified in regulations and amended from time to time.
The Fire Marshal may monitor and review the fire protection services provided by
municipalities to ensure that municipalities have met their responsibilities under the act. If
the Fire Marshal is of the opinion that, as a result of a municipality failing to comply with its
responsibilities under subsection (1) or a serious threat to public safety exists in the
municipality, he or she may make recommendations to the council of the municipality with
respect to possible measures the municipality may take to remedy or reduce the threat to
public safety. The Fire Marshal also issues guidelines to municipalities respecting fire
protection services and related matters through Public Fire Safety Guidelines.
Council establishes fire protection service levels by direction to staff and through the Fire
Department Establishing and Regulating By-law that specifies the services the Fire
Department is authorized to provide. The Establishing By-law also lays out roles and
responsibilities and organizational structure of the Fire Department.
The Occupational Health and Safety Act (OHSA) imposes duties on employers, supervisors
and workers. Of note, are the requirements to provide information, instruction, and
supervision to a worker to protect the health and safety of the worker, appoint competent
supervision, and take every precaution reasonable in the circumstances for the protection of
the worker.
Page 168 of 234
White Paper : Assistant Chief of Fire Prevention & Training
24
The Ministry of Labour (MOL) Section 21 Committee establishes Firefighter Guidance Notes
that establish best practices for protecting the health and safety of fire service workers and
are enforceable by the MOL.
The National Fire Protection Association (NFPA) establishes industry standards and best
practices for the fire service at a national level. The Ontario Fire Marshal has adopted NFPA
Professional Qualification standards as the basis for fire service training in Ontario.
Current Operational Challenges
Fire Suppression Challenges
Increased petroleum/synthetic products that burn hotter and faster
Current deployment model increases response times (to station then incident)
Growing community, increasing call volume (~425 in 2021)
Fewer employers allowing firefighters to leave for emergencies
Child care - both parents work prevents response
COVID-19 has reduced available staffing
Staff burnout due to number of calls and time commitment
More transient work force – firefighters work further away and unable to respond
Shift work schedules limit availability for response
Current remuneration system creates staffing challenges
Life events; school, family, health, injury limit staffing and response
PTSD, Mental Health, Occupational Cancer impact staffing and limit response
Physical and mental fitness requirements limit applicants and staffing
Lack of succession planning or advancement opportunities limits staffing
The above list of challenges results in increased response times and fewer firefighters and
supervisors responding to incidents. Often firefighters arrive on scene with inadequate
staffing or supervision during or post flashover increasing risk to firefighter safety and
decreasing their ability for rescue. These operational challenges negatively impact firefighter
safety, public safety, fire loss and the Department’s ability to meet Council approved service
levels or comply with OHSA requirements and industry standards or best practices.
Alternative approaches to staffing and resource deployment must be explored with a goal to
reduce response times and increase fire ground staffing and supervision to enhance
firefighter and community safety and satisfy legislative requirements and industry standards.
The current organizational structure and resource deployment model has limited capacity to
meet OHSA requirements or industry standards or best practices related to response times,
fire ground staffing, or supervisory requirements necessary to ensure firefighter health and
safety. Additional staffing resources are required to bolster response times, fire ground
staffing and supervisory obligations.
Page 169 of 234
White Paper : Assistant Chief of Fire Prevention & Training
25
Fire Prevention Challenges
Limited capacity to conduct complaint and request inspections (regulation)
Limited capacity to complete vulnerable occupancy inspections/fire drills (regulation)
Lack of pre-incident plan data to assist in emergency response (Safety/FUS)
Limited capacity to complete Community Risk Assessment (regulation)
Limited capacity to follow-up and close open inspection files (regulation)
Limited capacity to train and remain current in prevention issues and practices
Limited capacity to review and approve fire safety plans (regulation)
Limited capacity to conduct public safety education (regulation)
Limited capacity to review or inspect business license applications
Limited capacity to review, or inspect site plan applications
Limited capacity for smoke and CO alarm program (regulation)
Limited capacity to respond to inquiries in a timely manner
The current organizational structure has limited capacity to meet fire prevention and
educations program requirements under the FPPA and Council approved service levels. The
bulk of fire prevention, code enforcements and education programs duties are delivered by
dual-rolled paid-on-call fire suppression staff members with limited capacity or availability.
Increasing fire prevention, code enforcements and education programs has proven to be an
effective strategy to reducing fire loss across Ontario.
Public Education and Prevention:
Educating residents of the community to fulfill their responsibilities for their own fire safety is
a proven method of reducing the incidence of fire. Only by educating residents can fires be
prevented and can those affected by fires respond properly to save lives, reduce injury and
reduce the impact of fires.
Fire Safety Standards and Enforcement:
Ensuring that buildings have the required fire protection systems, safety features, including
fire safety plans, and that these systems are maintained, so that the severity of fires may be
minimized.
Preventing fires through fire prevention and education programs and utilization of the
appropriate fire safety standards and enforcement strategies is the most effective means to
reduce the impacts of fire emergencies and fire related injuries in our community. The
Ontario Fire Marshal has indicated that optimization of fire prevention and education
programs must be a priority of the fire service. Additional staffing resources are required to
increase capacity to meet fire prevention, code enforcements and education program
requirements.
Training Challenges
Increased training requirements for firefighters (OHSA & NFPA)
Increased instructor expertise and prep time (OHSA & NFPA)
Limited capacity to train paid-on-call members (OHSA & NFPA)
Page 170 of 234
White Paper : Assistant Chief of Fire Prevention & Training
26
Limited capacity to train instructors (OHSA & NFPA)
Lack of available training time for paid-on-call instructors / learners
Increased training demand for recruit training
Limited capacity for program coordination and records management
Increasing licence requirements (DZ) / medical
Recruitment and retention of firefighters
The current organizational structure has limited capacity for both learners and instructors to
meet fire service training demands required by OHSA and industry standards. The bulk of
fire training program development duties are fulfilled by dual-rolled paid-on-call fire
suppression staff members with limited capacity or availability. Training requirements to
meet OFM adopted NFPA qualifications standards for both instructors and students has
significantly increased training demands. Additional staffing resources are required to
increase capacity to meet fire service training requirements and legislative compliance.
Summary:
An Assistant Chief of Fire Prevention and Training FTE position is required to increase the
Fire Department’s capacity to deliver fire prevention, code enforcement, education and
training programs. Additionally, this position will increase emergency response
effectiveness, fire ground staffing and supervisory capabilities and assist in achieving
Council approved service levels, legislative compliance and industry best practices.
Financial Impact / Funding Source
Assistant Chief position annual costs: $105,000
Restructuring cost savings: ($113,500)
Estimated revenue from new position ($10,000)
Total Cost Savings $18,500
The cost differential between positions of ($8,500) combined with new revenue of ($10,000)
result in the restructured Assistant Chief of Fire Prevention and Training position saving the
Town $18,500.
Page 171 of 234
White Paper : Assistant Chief of Fire Prevention & Training
27
Key Responsibilities
The Assistant Chief of Fire Prevention and Training reports to the Fire Chief and acts as Fire Chief
and CEMC in the absence of the Fire Chief. Key accountabilties include; leading and managing
Emergency Response, Fire Prevention, Fire and Life Safety Education and Fire Training Programs.
Duties:
Responds to Emergencies, Initiates ICS, Supervise Personnel, Mitigate Emergency
Develops, Delivers and Evaluates Public Education and Training Programs
Conducts Fire and Life Safety Inspection, code enforcement, Resolve Violations
Evaluates Prevention, Education and Training Programs
Maintains Legislative Compliance
Liaise with Internal and External Agencies and Stakeholders
Formulation and Implementation of Programs, Policies and Procedures
Budget Development and Administration
Evaluate Performance, Programs, Service Gaps
Investigates Fire Cause and Documents Fire Scenes
Prepares and Updates Building Audits and Pre-Incident Plans
Performs Public Relations and Public Education
Evaluates, Approves, and Enforces Fire Safety Plans
Issues Plan Approvals for Compliance Equivalencies
Initiates and Participates in the Prosecution of Offenders
Develops Training Plans, Programs and Learning Materials
Coordinates and Delivers Fire Service Related Training Programs
Researches Policies, Procedures, Techniques and Equipment
Conducts Career Development Coach, Mentor and Counsel Members
Project Management
Maintains Professional Competency
Performs Administrative Duties
Other duties as assigned
Page 172 of 234
White Paper : Assistant Chief of Fire Prevention & Training
28
Position Qualifications (Preferred)
Post-Secondary education in Fire Protection Technology, Administration, Education,
and/or related field and/or equivalent as determined by the Fire Chief
Minimum 5 years related work experience
Valid DZ driver’s licence in good standing
Knowledge of Ontario Fire Code, Ontario Building Code, legislation and By-laws
First Aid/CPR Certificate.
Excellent verbal, written and presentation communication skills
Superior interpersonal and customer service skills including the ability to work
effectively in a team environment
Ability to coach and mentor staff
Ability to handle matters of a confidential or politically sensitive nature
NFPA 1001 – Firefighter I & II
NFPA 1021 – Fire Officer I II & III
NFPA 1031 – Fire Inspector I, II
NFPA 1041 – Fire Instructor I & II
Qualified as a Certified Fire & Explosion Investigator (CFEI) or NFPA 1033
Proficient in use of technology, Windows O/S, Microsoft Office Suite, Fire RMS
Page 173 of 234
Town Of
Tillsonburg
2022 Business
Plan
Economic Development & Marketing
November 29, 2021
Page 174 of 234
2
2022 Business Objectives
2022 Business Plan | Economic Development & Marketing
Project Community Strategic Plan Lead
Accountability
Project Cost Anticipated
Completion
Community Improvement
Plan (Downtown Façade)
Goal – Community Growth
Strategic Direction – Continue to offer relevant, leading
incentives for revitalization and diversification in the
downtown and throughout Tillsonburg
Priority Project-Not applicable
Business
Improvement
Association
$35,000 Ongoing
Community Improvement
Plan (Applications)
Goal – Business Attraction, Retention and Expansion
Strategic Direction – Instill an “open for business” culture
across the corporation that prioritizes economic
development and business attraction
Priority Project-Continued support for BIA and town-wide
businesses during COVID-19 recovery
Development
Commissioner
$20,000 Ongoing
Updated Economic
Development Strategy
Implementation
Goal – Business Attraction, Retention and Expansion
Strategic Direction – Instill an “open for business” culture
across the corporation that prioritizes economic
development and business attraction
Priority Project-Economic Development Strategy update
Economic
Development &
Marketing
$5,000 Ongoing
Enhanced Business Processes
(Apps)
Goal – Business Attraction, Retention and Expansion
Strategic Direction – Instill an “open for business” culture
across the corporation that prioritizes economic
development and business attraction.
Priority Project-Marketing and build out of Van Norman
Innovation Park, Increase diversity in manufacturing and
other key sectors
Economic
Development &
Marketing
$5,000 Q1
Page 175 of 234
3
2022 Business Objectives
2022 Business Plan | Economic Development & Marketing
Project Community Strategic Plan Lead
Accountability
Project Cost Anticipated
Completion
Van Norman Innovation Park
(Ontario Certification)
Goal – Business Attraction, Retention and Expansion
Strategic Direction – Continue to streamline and expedite
the building approval process
Priority Project-Marketing and build out of Van Norman
Innovation Park
Economic
Development &
Marketing
$2,000 Q2
Chamber Awards – Grant Goal – Customer Service, Community & Engagement
Strategic Direction – Position Tillsonburgas a leader in the
municipal sector
Priority Project-Not applicable
Chamber of
Commerce
$4,000 Q3
Chamber Awards –
Sponsorship
Goal – Customer Service, Community & Engagement
Strategic Direction – Engage community groups, including
advisory committees and service organizations, in shaping
municipal initiative
Priority Project-Not applicable
Economic
Development
Advisory
Committee/
Chamber of
Commerce
$4,000 Q3
Community Video Production Goal – Community Growth
Strategic Direction – Promote, preserve and enhance the
downtown core as the retail centre and community hub
for Tillsonburg
Priority Project-Not applicable
Economic
Development&
Marketing
$10,000 Q3
Bridges to Better Business Goal – Business Attraction, Retention and Expansion
Strategic Direction – Not applicable
Priority Project-Not applicable
The Small
Business Centre
$1,000 Q3
Page 176 of 234
4
2022 Business Objectives
2022 Business Plan | Economic Development & Marketing
Project Community Strategic Plan Lead
Accountability
Project Cost Anticipated
Completion
Youth Robotics Challenge Goal – Business Attraction, Retention and Expansion
Strategic Direction – Develop a “made in Tillsonburg”
approach to education, training and development based
on the workforce needs of current and prospective
employers
Priority Project – Not applicable
Oxford Youth
Invitational
Challenge
$1,000 Q3
Discover Tillsonburg(Magazine) Goal – Lifestyle and Am enities
Strategic Direction – Increase opportunities to enjoy
culture, events and leisure activities in Tillsonburg.
Priority Project-Not applicable
Economic
Development &
Marketing/
Communications
$8,000 offset
by revenue of
$6,000
Ongoing
Pandemic Business Recovery
(My Main Street)
Goal – Business Attraction, Retention and Expansion
Strategic Direction – Not applicable
Priority Project-Continued support for BIA and town-wide
businesses during COVID-19 recovery
Development
Commissioner/Re
creation,Culture
&
Parks/BIA/Workin
g Group
$2,000, but
TBD Subject to
grant funding
approval
Q4
Town Hall Project Support Goal – Customer Service, Communication & Engagement
Strategic Direction – Position Tillsonburgas a leade r in the
municipal sector
Priority Project- Consolidated Town Hall initiative
Town Hall
Steering
Committee/ CAO
Not applicable Ongoing
Continue to facilitate
discussions and networking
with potential partners to
review additional opportunities
for Short Line Rail connectivity
within the Town of Tillsonburg.
Goal – Business Attraction, Retention and Expansion
Strategic Direction – Not Ensure adequate supply of
“shovel ready” land for business attraction and expansion
Priority Project- Increase diversity in manufacturing
and other key sectors
Economic
Development &
Marketing
Not applicable Q4
Page 177 of 234
5
2022 Business Objectives (Prior CapEx)
2022 Business Plan | Economic Development & Marketing
Project Community Strategic Plan Lead
Accountability
Project Cost Anticipated
Completion
Van Norman Innovation Park
– Clearview Dr Extension &
SWM Pond Construction
Goal – Business Attraction, Retention and Expansion
Strategic Direction – Ensure adequate supply of “shovel
ready” land for business attraction and expansion
Priority Project-Marketing and build out of Van Norman
Innovation Park
Development
Commissioner
N/A Q4
Engineering Design Services
for Rokeby Road Property
Goal – Business Attraction, Retention and Expansion
Strategic Direction – Instill an “open for business” culture
across the corporation that prioritizes economic
development and business attraction
Priority Project-Increase diversity in manufacturingand
other key sectors
Operations
Department/
Development
Commissioner/Co
nsultant
$265,000 with
offsets per
Report DCS 20-
22
Q3
Wayfinding Signage Goal – Lifestyle and Amenities
Strategic Direction – Increase opportunities to enjoy
culture, events and leisure activities in Tillsonburg.
Priority Project-Not applicable
Economic
Development &
Marketing
$53,649 per
Report EDM
21-27
Q4
Consultations for Mall Parking
Lot Reconfiguration
Goal – Community Growth
Strategic Direction – Not applicable
Priority Project-Enhanced development standards that
benefit the community (including tree planting, affordable
housing, walkability, livability, connectivity
Enhanced public engagement in planning policies and
placemaking
EDM/Building/
Communications
$10,000 Q4
Page 178 of 234
6
2022 Business Objectives (New)
2022 Business Plan | Economic Development & Marketing
Project Community Strategic Plan Lead
Accountability
Project Cost Anticipated
Completion
VIP Phase2 Conceptual Plan
Development
Goal – Business Attraction, Retention and Expansion
Strategic Direction – Continue to streamline and expedite
the building approval process
Priority Project-Marketing and build out of Van Norman
Innovation Park
Development
Commissioner
$50,000
(funded by
reserves)
Q4
High Tech Manufacturing
Action Plan (Hub
Development)
Goal – Business Attraction, Retention and Expansion
Strategic Direction – Develop a “made in Tillsonburg”
approach to education, training and development based
on the workforce needs of current and prospective
employers
Priority Project-Increase diversity in manufacturing
and other key sectors
Development
Commissioner/
Industry/
Associations
$5,000 Ongoing
CF Oxford Partnership
(Pop-up)
Goal – Business Attraction, Retention and Expansion
Strategic Direction – Support local businesses in
post-COVID-19 recovery
Priority Project- Continued promotion and facilitati on
of COVID-19 business support programs
Development
Commissioner
$5,000 Q4
Airport Business
Development
Goal – Connectivity and Transportation
Strategic Direction – Leverage the municipal airport more
effectively to increase access, visibility
and business activity in Tillsonburg
Priority Project–Support Airport Master Plan and
implementation
Economic
Development &
Marketing,
Airport
TBD
(Fly-in tours)
Q4
Page 179 of 234
7
2022 Business Objectives (New)
2022 Business Plan | Economic Development & Marketing
Project Community Strategic Plan Lead
Accountability
Project Cost Anticipated
Completion
Project Big Swing Goal – Lifestyle and Amenities
Strategic Direction – Update municipal sports facilities
consistent with modern standards
Target new programs, services, amenities and attractions
that will be a magnet for young families
Work with Oxford County and community partners
to ensure an adequate supply of affordable, attainable
housing options.
Priority Project-New playgrounds construction, Affordable
housing collaboration with Oxford County
Development
Commissioner/
Recreation,
Culture & Parks
TBD Ongoing
County Surplus Rail Lands Goal – Lifestyle and Amenities
Strategic Direction – Provide an expanded, accessible
network of parks and trails.
Priority Project-New playgrounds construction
Goal – Business Attraction, Retention and Expansion
Strategic Direction – Increase diversity in manufacturing
and other key sectors
Priority Project-Not applicable
Development
Commissioner/
RCP/Industry
TBD Ongoing
Page 180 of 234
8
Risks
• Each of the business plan categories (strategy,
investment, support, downtown, Van Norman
Innovation Park, partner engagement,
promotion, pandemic support, infrastructure,
etc) support the ongoing development of the
town as a more complete community and not
supporting these comprehensive actions will
detract from the goals identified for the Town
2022 Business Plan | Economic Development & Marketing
Page 181 of 234
9
Opportunities
2022 Business Plan | Economic Development & Marketing
• Investment in the Van Norman Innovation Park,
the downtown, and business to support the growth
and diversification of the Town’s economy
• Enhance promotion through ongoing production of
magazines and community videos, signage, digital
marketing, and chamber awards
• Use updated strategy and high tech manufacturing
action plan to build resilience into local economy
• Maintain partnerships to support visitors, chamber
of commerce, youth, and entrepreneurs through
key sponsorships
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10
Future Departmental
Directions: 3 year outlook
• 2023
• Explore Accredited Economic Development Organization
(AEDO) program
• Update Industrial Land Strategy
• Implementation of updated Economic Development Strategy
• Expanded support for Airport Business Development
• 2024
• Complete sale of lands in Van Norman Innovation Park
• Potential Acquisition of additional Industrial Lands
• Implementation of updated Economic Development Strategy
• 2025
• Implementation of updated Economic Development Strategy
2022 Business Plan | Economic Development & Marketing
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2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
User Charges -90,000 -86,000 4,000 (4.4%)
Total Revenues -90,000 -86,000 4,000 (4.4%)
Expenditures
Purchases 55,000 48,700 -6,300 (11.5%)1
Interfunctional Adjustments 4,700 -4,700 (100.0%)
Total Expenditures 59,700 48,700 -11,000 (18.4%)
Total Net Levy -30,300 -37,300 -7,000 23.1%
Notes:
1 Reduced Façade Program
11
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2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
Grants -12,000 -32,000 -20,000 166.7%1
User Charges -108,000 -53,900 54,100 (50.1%)2
Contribution from Reserves -29,100 29,100 (100.0%)3
Total Revenues -149,100 -85,900 63,200 (42.4%)1
Expenditures
Labour 202,200 214,900 12,700 6.3%4
Purchases 115,300 143,400 28,100 24.4%5
Contracted Services 27,000 27,000
Contribution to Reserves 76,000 29,400 -46,600 (61.3%)6
Interfunctional Adjustments -18,900 -15,900 3,000 (15.9%)
Debt Principal & Interest 90,800 84,300 -6,500 (7.2%)7
Total Expenditures 492,400 483,100 -9,300 (1.9%)
Total Net Levy 343,300 397,200 53,900 15.7%
Notes:
1 SOMA grant; Modernization Intake 3 funding
2 Repayment from Packetworks
3 To fund debt interest relating to the industrial land
4 Part time Labour - summer student
5 Strategic Plan initiatives
6 Repayment from Packetworks
7 Decrease in interest paid
12
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2022 Capital Project Listing - New Projects (Draft)
Project # Contribution Grants Grants Tax Supported Reserves DC DC Donations Miscellaneous User Pay Taxation Project Priority ITEM
in FMW Expenditures to Reserves Oxford County Fed & Prov Debt Reserves - w/o Exemptions Reserves - with Exemptions Debt Ranking Code #
Project Listing
505 Economic Development
VIP Phase 2 - Planning & Design X92 50,000 (50,000) - 1 A – Must do this year
6 - Strategic initiative (approved by
Council)
Rokeby Rd Reconstruction X91 400,000 (400,000) - 1 A – Must do this year
1 - Statutory/Legal requirement
Wayfinding Signage X89
83,649 (30,000) 53,600 1 A – Must do this year
6 - Strategic initiative (approved by
Council)
Total 505 Economic Development 533,649 - - - (480,000) - - - - - 53,600
Total 533,649 - - - - (480,000) - - - - - 53,600
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Town Of
Tillsonburg
2022 Business
Plan
Recreation, Culture & Parks
November 29, 2021
Page 190 of 234
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2022 Business Objectives
RCP Department Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipat
ed
Completi
on
Completion of New Splash Pad
Goal – Offer amenities, services & attractions
Strategic Direction – Attractions for young
families
Priority Project- New Splash Pad
RCP $400K Q2
Initiate Northcrest Estates Phase 2
Park
Goal – Offer amenities, services & attractions
Strategic Direction – Expanded network of
Parks
Priority Project-Tree Planting/Trail System
RCP $160K 2023 Q2
Aquatics Rehabilitation
Goal – Offer amenities, services & attractions
Strategic Direction – Enhance Programs
Youth/Senior – Leisure Activities
Priority Project- Community Centre Rehab
RCP $4.6M 2023 Q2
Tree Canopy Project
Goal – N/A
Strategic Direction – N/A
Priority Project – Enhanced Tree Planting
RCP $88K 2022 Q4
Updating of Facilities Asset
Management Plan
Goal – Offer amenities, services & attractions
Strategic Direction –Long Term Asset Plan
Priority Project- Asset Mgmt Plan
RCP N/A 2022 Q4
2022 Business Plan | Recreation, Culture & Parks
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3
2022 Business Objectives
Programs & Services Division
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipat
ed
Completi
on
Community Recreation Survey
Goal –Offer residents the amenities and
services they require to enjoy balanced
lifestyles
Strategic Direction – Maintain and enhance
programs to support an active and engaged
population
Priority Project- Recreation Master Plan
Recreation N/A Q2
Review/Revise Membership
Structure (Health Club and Pool)
Goal –Offer residents the amenities and
services they require to enjoy balanced
lifestyles
Strategic Direction – Update municipal sports
facilities with modern standards
Priority Project- Community Centre
rehabilitation
Recreation N/A Q3 – Q4
2022 Business Plan | Recreation, Culture & Parks
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2022 Business Objectives
Culture & Heritage Division
Project Community Strategic Plan Lead
Accountab
ility
Project
Cost
Anticipated
Completion
Municipal Open House Event in celebration
of the 150th Anniversary of Town
Incorporation
Goal – Offer amenities, services &
attractions
Strategic Direction – to enjoy culture
Priority Project- additional community
events
Museum $2,500 Q1
150th Anniversary of Town Incorporation
Special Exhibit in Pratt Gallery
Goal – Offer amenities, services &
attractions
Strategic Direction – to enjoy culture
Priority Project- additional community
events
Museum $2,700 Q1 – Q3
Hosting of a series of various special events
and production of souviner item in honor
of town’s 150th Anniversary
Goal – Offer amenities, services &
attractions
Strategic Direction – to enjoy culture
Priority Project- additional community
events
Museum $12,800 Q1 – Q4
2022 Business Plan | Recreation, Culture & Parks
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2022 Business Objectives
Parks & Facilities Division
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
LLWP Building Replacement Goal – Offer amenities, services &
attractions
Strategic Direction – Attractions for
young families
Priority Project- New Splash Pad
Admin TBD Subject to
Grant Award
2022 Q4
Tree Planting Program Goal – N/A
Strategic Direction – N/A
Priority Project – Enhanced Tree Planting
Parks $20K 2022 Q3
HVAC Replacement Program Goal – N/A
Strategic Direction – N/A
Priority Project-
Facilities $105K 2022 Q3
OPP Security & Access System Goal – N/A
Strategic Direction – N/A
Priority Project- N/A
Facilities $55K 2022 Q1
Lion’s Den Arena Window Inserts Goal – N/A
Strategic Direction – N/A
Priority Project- N/A
Admin $50K 2022 Q3
2022 Business Plan | Recreation, Culture & Parks
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6
2022 Capital Highlights
Project Community Strategic Plan Lead
Accountability
Project
Cost
Anticipated
Completion
General Facility Repairs
Goal – Offer residents the amenities they require to
enjoy balanced lifestyles
Strategic Direction – Update municipal facilities
consistent with modern standards
Priority Project – Community Centre Rehabilitation
Facilities $120K 2022 Q4
Roof Repair/Replacement
Goal – Offer residents the amenities they require to
enjoy balanced lifestyles
Strategic Direction – Update municipal facilities
consistent with modern standards
Priority Project – Community Centre Rehabilitation
Facilities $100K 2022 Q4
New Playground Apparatus –
Southridge & Cranberry
Goal – Offer residents the amenities they require to
enjoy balanced lifestyles
Strategic Direction – Update municipal facilities
consistent with modern standards
Priority Project – New playgrounds construction
Parks $70K 2022 Q2
2022 Business Plan | Recreation, Culture & Parks
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Risks
•Capacity to meet expectations on proposed capital program is not available
without appropriate levels of staffing
•Maintaining legislative compliance in all areas of operations.
•Grant funding for major infrastructure renewal projects is highly subscribed
•Visitor hesitancy to return as 4th wave of pandemic continues into winter of 2021
•Aging volunteer/fundraiser base – not able to anticipate the same level as
previously experienced.
•Employee retention and recruiting challenges – Industry-wide
2022 Business Plan | Recreation, Culture & Parks
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Opportunities
•Improve relationships with local community and user groups.
•Continue energy consumption efficiencies through facility assessment &
enhancements.
•Facility upgrades through asset management programs to maximize life cycles for
equipment and building envelopes.
•Continue seeking Federal/Provincial Grant opportunities.
•Reap benefits from Departmental Service Review.
•Increase online registration through new booking software program.
2022 Business Plan | Recreation, Culture & Parks
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9
Future Departmental
Directions: 3 year outlook
2023 Parking Lot Preservation Plan
Adoption of RCP 10-Year Capital Plan
Adoption of Facility Asset Management Plan
Museum Master Plan
2024 Waterpark Furnishings Upgrade
Cemetery Master Plan Update
Sports Fields Upgrade Plan
2025 Recreation Master Plan Update
Celebration of 200th Anniversary of Town Founding by G.Tillson
2022 Business Plan | Recreation, Culture & Parks
Page 198 of 234
2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
User Charges -153,200 -148,200 5,000 (3.3%)
Other Revenue -18,500 -18,500
Total Revenues -171,700 -166,700 5,000 (2.9%)
Expenditures
Labour 152,400 157,400 5,000 3.3%
Purchases 70,600 58,900 -11,700 (16.6%)1
Contracted Services 21,000 21,000
Contribution to Reserves 7,400 7,400 2
Interfunctional Adjustments 76,700 93,100 16,400 21.4%3
Debt Principal & Interest 2,300 2,200 -100 (4.3%)
Total Expenditures 323,000 340,000 17,000 5.3%
Total Net Levy 151,300 173,300 22,000 14.5%
Notes:
1 Supplies Expense
2 Niche sales
3 Fleet Charges allocation - new unit
10
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2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
User Charges -28,300 -28,300 - 0.0%
Other Revenue -1,600 -1,600 - 0.0%
Total Revenues -29,900 -29,900
Expenditures
Labour 260,000 289,900 29,900 11.5%1
Purchases 126,300 130,300 4,000 3.2%
Contracted Services 259,400 262,400 3,000 1.2%
Contribution to Reserves 16,300 16,300
Interfunctional Adjustments 96,400 96,600 200 0.2%
Debt Principal & Interest 76,200 74,100 -2,100 (2.8%)
Total Expenditures 834,600 869,600 35,000 4.2%
Total Net Levy 804,700 839,700 35,000 4.3%
Notes:
1 Full Time Labour
11
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2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
Grants -24,200 -28,200 -4,000 16.5%
Total Revenues -24,200 -28,200 -4,000 16.5%
Expenditures
Labour 6,000 6,000
Purchases 110,400 115,100 4,700 4.3%
Total Expenditures 116,400 121,100 4,700 4.0%
Total Net Levy 92,200 92,900 700 0.8%
12
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2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
Grants -42,700 -42,700
User Charges -811,300 -751,900 59,400 (7.3%)1
Other Revenue -12,500 -12,500
Total Revenues -866,500 -807,100 59,400 (6.9%)
Expenditures
Labour 1,531,000 1,537,500 6,500 0.4%
Purchases 273,400 279,300 5,900 2.2%
Interfunctional Adjustments 148,300 141,100 -7,200 (4.9%)2
Total Expenditures 1,952,700 1,957,900 5,200 0.3%
Total Net Levy 1,086,200 1,150,800 64,600 5.9%
Notes:
1 Reduced Rates & Fees - COVID
2 IT charges allocation
13
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2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
User Charges -3,600 -3,600
Total Revenues -3,600 -3,600
Expenditures
Labour 1,071,200 1,072,900 1,700 0.2%
Purchases 656,200 688,100 31,900 4.9%1
Contracted Services 388,700 394,400 5,700 1.5%
Interfunctional Adjustments 93,400 109,700 16,300 17.5%2
Debt Principal & Interest 590,400 584,500 -5,900 (1.0%)
Total Expenditures 2,799,900 2,849,600 49,700 1.8%
Total Net Levy 2,796,300 2,846,000 49,700 1.8%
Notes:
1 HLW; Insurance; Safety Expenses
2 Fleet charges and IT charges allocations
14
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2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
User Charges -112,500 -118,700 -6,200 5.5%1
Total Revenues -112,500 -118,700 -6,200 5.5%
Expenditures
Purchases 14,400 14,600 200 1.4%
Contracted Services 2,000 2,000
Contribution to Reserves 12,500 12,500 - 0.0%
Debt Principal & Interest 31,000 43,600 12,600 40.6%2
Total Expenditures 57,900 72,700 14,800 25.6%
Total Net Levy -54,600 -46,000 8,600 (15.8%)
Notes:
1 Rent increase contributed to reserves
2 New debt relating to the roof replaced in 2021
15
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2021 2022 Budget %Note
Budget Budget Variance Variance Reference
Revenues
Grants -18,900 -18,900
User Charges -6,300 -6,300
Other Revenue -7,000 -6,500 500 (7.1%)
Contribution from Reserves -30,300 -44,000 -13,700 45.2%1
Total Revenues -62,500 -75,700 -13,200 21.1%
Expenditures
Labour 279,300 280,400 1,100 0.4%
Purchases 84,400 103,600 19,200 22.7%2
Contracted Services 15,000 21,000 6,000 40.0%3
Interfunctional Adjustments 22,000 24,700 2,700 12.3%
Total Expenditures 400,700 429,700 29,000 7.2%
Total Net Levy 338,200 354,000 15,800 4.7%
Notes:
1 100% of Federal grant received in 2021 COVID reopening
2 One time 150 Anniversary Expenses
3 Subcontractor Expenses
16
Page 205 of 234
2022 Capital Project Listing - New Projects (Draft)
Project # Contribution Grants Grants Tax Supported Reserves DC DC Donations Miscellaneous User Pay Taxation Project Priority ITEM
in FMW Expenditures to Reserves Oxford County Fed & Prov Debt Reserves - w/o Exemptions Reserves - with Exemptions Debt Ranking Code #
Project Listing
300 Cemetery
New Columbarium
X43 60,000 (60,000)
-
1 A – Must do this year
4- Increased due to growth-related
Total 300 Cemetery 60,000 - - - - (60,000) - - - - - -
450 Parks
Library Lane Enhancement - Design Phase X62 10,000 10,000 2 A – Must do this year
2 - Security/Risk Management/H&S
Southbridge Parkette Play Structure X61 35,000 35,000 2 B – Must do next year
3- Regular replacement program-
existing service level
Cranberry Park Play Structure X60 35,000 35,000 1 A – Must do this year
4- Increased due to growth-related
Tree Planting Program X59 20,000 20,000 1 A – Must do this year
6 - Strategic initiative (approved by
Council)
Sports Field Conditioner X58 20,000 20,000 2 B – Must do next year
2 - Security/Risk Management/H&S
Northcrest Estates Phase 2 -Park Design & Construction X57 160,000 (160,000) - 1 A – Must do this year
4- Increased due to growth-related
Total 450 Parks 280,000 - - - - - - - - (160,000) - 120,000
460 Programs
Scanner and Tablets for Booking Software X56 15,000
- 15,000 2 B – Must do next year
3- Regular replacement program-
existing service level
Total 460 Programs 15,000 - - - - - - - - 15,000
465 Facilities
HVAC General Repair/Replacements X55 50,000
- 50,000 1 A – Must do this year
3- Regular replacement program-
existing service level
OPP Security Replacement Access System X54 55,000 55,000 1 A – Must do this year
2 - Security/Risk Management/H&S
General Building Repairs & Maintenance X53 80,000 80,000 1 A – Must do this year
3- Regular replacement program-
existing service level
Dressing Rooms and storage at the Tillsonburg Community Center X50 15,000 15,000 3
C – Must do in three years or
longer
6 - Strategic initiative (approved by
Council)
Total 465 Facilities 200,000 - - - - - - - - - - 200,000
475 Museum
Security Camera System Replacement X49 15,000 15,000 1 A – Must do this year
2 - Security/Risk Management/H&S
Boiler Replacement X48 55,000 (27,100) 27,900 1 A – Must do this year
3- Regular replacement program-
existing service level
Annandale Slate Roof Repairs X47 50,000 50,000 1 A – Must do this year
3- Regular replacement program-
existing service level
Total 475 Museum 120,000 - - - (27,100) - - - - - 92,900
Total 675,000 - - - - (87,100) - - - (160,000) - 427,900
17
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Capital Budget overview
The following is the 2022 proposed new capital expenditures that are funded from
various sources including grants, reserves, debt an d taxation.
Page 222 of 234
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Capital Project Listing - New Projects (Draft)
Back to Summary Project # Contribution Grants Grants Tax Supported Reserves DC DC Donations Miscellaneous User Pay Taxation Project Priority ITEM
in FMW Expenditures to Reserves Oxford County Fed & Prov Debt Reserves - w/o Exemptions Reserves - with Exemptions Debt Ranking Code #
Project Listing
110 Corporate Services
Annual IT replacement program X95
(74,000) 74,000 - 1 A – Must do this year
3- Regular replacement program-
existing service level
Computer Replacements X96 62,300 (62,300) - 1 A – Must do this year
3- Regular replacement program-
existing service level
Cell Phone Replacements X97 8,000 (8,000) - 2 A – Must do this year
3- Regular replacement program-
existing service level
Town Hall X44 254,000
- (254,000) - 2 B – Must do next year
3- Regular replacement program-
existing service level
Total 110 Corporate Services 250,300 74,000 - - (254,000) (70,300) - - - - - -
130 Fleet
-
Replace Roads Unit #80 - Loader
X88
250,000 - - - 250,000 2 A – Must do this year
3- Regular replacement program-
existing service level
Replace Roads Unit #63 - Snowplow/Sander
X87
280,000 - - (280,000) - 1 A – Must do this year
3- Regular replacement program-
existing service level
Replace Roads Unit #203 - Zero Turn Mower
X86
10,000 - - 10,000 3 A – Must do this year
3- Regular replacement program-
existing service level
Replace Roads Unit #98 - Trackless Flail Mower
X85
15,000 - - 15,000 5 A – Must do this year
3- Regular replacement program-
existing service level
Replace Roads Unit #135 - Trackless Boom Flail
X84
25,000 - - 25,000 6 A – Must do this year
3- Regular replacement program-
existing service level
New Sidewalk Plow for Roads
X83
165,000 - - (165,000) 37,950 38,000 4 A – Must do this year
4- Increased due to growth-related
Total 130 Fleet 745,000 - - - (280,000) - (165,000) 37,950 - - - 338,000
150 Fire
H&S Tac Channel Recorder Radio X98 8,000 8,000 1 A – Must do this year 2 - Security/Risk Management/H&S
PPE Bunker Gear R&R
X99
15,000
(8,800)
6,864 13,100
1 A – Must do this year 2 - Security/Risk Management/H&S
Fire Master Plan
X94 50,000
(37,500)
8,250 20,800
2 B – Must do next year 4- Increased due to growth-related
Tech Rescue Equip R&R (Rope, CF, HZM, Water etc.)
X93 10,000 10,000
1 A – Must do this year 2 - Security/Risk Management/H&S
Total 150 Engineering 83,000 - - - - (46,300) 15,114 - - - 51,900
210 Engineering
Woodcock and Pheasant Design
X82
90,000 - 90,000 4 A – Must do this year
3- Regular replacement program-
existing service level
3D Lidar – Manhole Condition Assessment
X81
85,000 - - 85,000 1 A – Must do this year
2 - Security/Risk Management/H&S
Cranberry Rd Design
X79
130,000 - (91,200) 27,230 66,000 3 A – Must do this year
4- Increased due to growth-related
Kinsmen Bridge Design
X80
120,000 - (120,000) - 5 B – Must do next year
2 - Security/Risk Management/H&S
Transportation Master Plan
X78
80,000 - (60,000) 13,200 33,200 2 B – Must do next year
6 - Strategic initiative (approved by
Council)
Total 210 Engineering 505,000 - - (120,000) (151,200) 40,430 - - - 274,200
220 Public Works
Beech Blvd and Stoney Creek Retaining Walls
X76
940,800 - (294,000) (646,800) - 1 A – Must do this year
2 - Security/Risk Management/H&S
Lindsay St Reconstruction
X75
541,200 (386,000) 155,200 2 A – Must do this year
3- Regular replacement program-
existing service level
Frances St Reconstruction
X74
663,400 (220,000) 443,400 3 A – Must do this year
3- Regular replacement program-
existing service level
2022 Asphalt Program
X73
400,000 (400,000) - 4 A – Must do this year
3- Regular replacement program-
existing service level
2022 Sidewalk Connectivity Program
X72
100,000 (90,000) 20,700 30,700 5 B – Must do next year
6 - Strategic initiative (approved by
Council)
Sidewalk Inspection Program X71 25,000 25,000 7 A – Must do this year 1 - Statutory/Legal requirement
Salt Storage Construction
X70
475,000 (96,916) 22,291 400,400 6 A – Must do this year
4- Increased due to growth-related
Fleet Facility Expansion - Design
X69
120,000 (120,000) 27,600 27,600 8 B – Must do next year
4- Increased due to growth-related
Connecting Link -Hwy #3 to Town limits
X67
631,200 (558,900) 72,300 9 A – Must do this year
3- Regular replacement program-
existing service level
Total 220 Public Works 3,896,600 - - (1,858,900) (646,800) - (306,916) 70,591 - - - 1,154,600
250 Sanitary Sewers
3D Lidar – Manhole Condition Assessment
X81
85,000 (85,000) 1 A – Must do this year
2 - Security/Risk Management/H&S
Woodcock and Pheasant Design
X82
45,000 (45,000) 5 A – Must do this year
3- Regular replacement program-
existing service level
Lindsay St Reconstruction
X75
295,154 (295,154) - 2 A – Must do this year
3- Regular replacement program-
existing service level
Frances St Reconstruction
X74
361,802 (361,802) - 3 A – Must do this year
3- Regular replacement program-
existing service level
Cranberry Rd Design
X79
65,000 (65,000) 4 A – Must do this year
4- Increased due to growth-related
Stoney Creek Sanitary Retaining Walls- Design
X65
109,901 (109,901) 6 A – Must do this year
3- Regular replacement program-
existing service level
Total 250 Sanitary Sewers 961,856 (961,856)
2
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Capital Project Listing - New Projects (Draft)
Back to Summary Project # Contribution Grants Grants Tax Supported Reserves DC DC Donations Miscellaneous User Pay Taxation Project Priority ITEM
in FMW Expenditures to Reserves Oxford County Fed & Prov Debt Reserves - w/o Exemptions Reserves - with Exemptions Debt Ranking Code #
60 Storm Sewers
Beech Blvd and Stoney Creek Retaining Walls
X76
235,200 - (235,200) - 1 A – Must do this year
3- Regular replacement program-
existing service level
Lindsay St Reconstruction
X75
266,200 266,200 2 A – Must do this year
3- Regular replacement program-
existing service level
Frances St Reconstruction
X74
326,300 326,300 3 A – Must do this year
3- Regular replacement program-
existing service level
Van Street
X64
25,000 25,000 4 A – Must do this year
3- Regular replacement program-
existing service level
Total 260 Storm Sewers 852,700 - - - (235,200) - - - - - 617,500
270 Water
Woodcock and Pheasant Design
X82
45,000 (45,000) 4 A – Must do this year
3- Regular replacement program-
existing service level
Lindsay St Reconstruction
X75
416,375 (416,375) - 1 A – Must do this year
3- Regular replacement program-
existing service level
Frances St Reconstruction
X74
510,395 (510,395) - 2 A – Must do this year
3- Regular replacement program-
existing service level
Cranberry Rd Design
X79
65,000 (65,000) 3 A – Must do this year
4- Increased due to growth-related
Total 270 Water 1,036,771 (1,036,771) -
300 Cemetery
New Columbarium
X43 60,000 (60,000)
-
1 A – Must do this year
4- Increased due to growth-related
Total 300 Cemetery 60,000 - - - - (60,000) - - - - - -
450 Parks
Library Lane Enhancement - Design Phase X62 10,000 10,000 2 A – Must do this year
2 - Security/Risk Management/H&S
Southbridge Parkette Play Structure X61 35,000 35,000 2 B – Must do next year
3- Regular replacement program-
existing service level
Cranberry Park Play Structure X60 35,000 35,000 1 A – Must do this year
4- Increased due to growth-related
Tree Planting Program X59 20,000 20,000 1 A – Must do this year
6 - Strategic initiative (approved by
Council)
Sports Field Conditioner X58 20,000 20,000 2 B – Must do next year
2 - Security/Risk Management/H&S
Northcrest Estates Phase 2 -Park Design & Construction X57 160,000 (160,000) - 1 A – Must do this year
4- Increased due to growth-related
Total 450 Parks 280,000 - - - - - - - - (160,000) - 120,000
460 Programs
Scanner and Tablets for Booking Software X56 15,000
- 15,000 2 B – Must do next year
3- Regular replacement program-
existing service level
Total 460 Programs 15,000 - - - - - - - - 15,000
465 Facilities
HVAC General Repair/Replacements X55 50,000
- 50,000 1 A – Must do this year
3- Regular replacement program-
existing service level
OPP Security Replacement Access System X54 55,000 55,000 1 A – Must do this year
2 - Security/Risk Management/H&S
General Building Repairs & Maintenance X53 80,000 80,000 1 A – Must do this year
3- Regular replacement program-
existing service level
Dressing Rooms and storage at the Tillsonburg Community Center X50 15,000 15,000 3
C – Must do in three years or
longer
6 - Strategic initiative (approved by
Council)
Total 465 Facilities 200,000 - - - - - - - - - - 200,000
475 Museum
Security Camera System Replacement X49 15,000 15,000 1 A – Must do this year 2 - Security/Risk Management/H&S
Boiler Replacement X48 55,000 (27,100) 27,900 1 A – Must do this year
3- Regular replacement program-
existing service level
Annandale Slate Roof Repairs X47 50,000 50,000 1 A – Must do this year
3- Regular replacement program-
existing service level
Total 475 Museum 120,000 - - - (27,100) - - - - - 92,900
480 Transit
Bus Stop Shelter Installation
X46
340,000 (272,000) 68,000 1 B – Must do next year
5 - Expand service level
Total 480 Transit Services 340,000 (272,000) 68,000
505 Economic Development
VIP Phase 2 - Planning & Design X92 50,000 (50,000) - 1 A – Must do this year
6 - Strategic initiative (approved by
Council)
Rokeby Rd Reconstruction X91 400,000 (400,000) - 1 A – Must do this year
1 - Statutory/Legal requirement
Wayfinding Signage X89
83,649 (30,000) 53,600 1 A – Must do this year
6 - Strategic initiative (approved by
Council)
Total 505 Economic Development 533,649 - - - (480,000) - - - - - 53,600
Total 9,879,876 74,000 (1,998,627) (2,130,900) (1,416,000) (757,400) (669,416) 164,085 - (160,000) - 2,985,700
3
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Capital Projects that have been Deferred/Removed from the Budget
ntribution Grants Grants Tax Supported Reserves DC DC Donations Miscellaneous User Pay Allocate to Taxation Comments
Expenditures to Reserves Oxford County Fed & Prov Debt Reserves - w/o Exemptions Reserves - with Exemptions Debt Operating budget
Project Listing
130 Fleet 0
New Truck for New FTE Water 38,000 0 -38,000 0 included in the Enterprise program
Rep #19 Pickup Truck Engineering 38,000 0 -38,000 0 included in the Enterprise program
Rep #20 Pickup Truck Airport 38,000 0 -38,000 0 included in the Enterprise program
Rep #30 Crew Cab Pickup Truck Hydro 38,000 0 -38,000 0 included in the Enterprise program
Rep #29 Pickup Truck Complex 38,000 -38,000 0 included in the Enterprise program
Rep #36 SUV Building 35,000 0 -35,000 0 included in the Enterprise program
Rep #37 1 ton Pickup Truck Fire 90,000 0 -90,000 0 included in the Enterprise program
Total 130 Fleet 315,000 0 0 -204,000 -35,000 0 0
0 0 -76,000 0 0
150 Fire
RMS ER SAAS (Subscription)6,000 -6,000 0
Removed on September 30 2021
Emergency Notification SAAS 5,000 -5,000 0
Removed on September 30 2021
H&S Radio Simulcast Licence SM Contract 5,000 -5,000 0
Removed on September 30 2021
PPE Helmets R&R 2,500 -2,500 0
Removed on September 30 2021
PPE Boots R&R 2,500 -2,500 0
Removed on September 30 2021
Scene Lighting 2,500 -2,500 0
Removed on September 30 2021
H&S Chairs 2,000 -2,000 0
Removed on September 30 2021
Air Monitors Equip R&R PID 6,000 -6,000 Removed on October 7 2021
Hose/Nozzle R&R 5,000 -5,000 Removed on October 7 2021
NG 911 Stage 3 50,000 50,000 Deferred to 2023 as per chief - October 8 2021
Total 150 Fire 86,500 0 0 0 0 0 0 0 0 -36,500 50,000
210 Engineering
Drainage Master Plan 112,400 -84,300 18,546 46,646 Removed by SLT on Oct. 21 2021
Total 210 Engineering 112,400 0 -84,300 18,546 0 0 0 0 46,646
220 Public Works
Signal Priority Control System Expansion 33,800 -33,800 7,774 7,774 Removed by SLT on Oct. 21 2021
Total 220 Public Works 33,800 0 0 0 0 -33,800 7,774 0 0 0 0 7,774
240 Airport
Airport Electrical Upgrade 285,000 285,000 Removed by SLT on Oct. 21 2021
Total 240 Airport 285,000 0 0 0 0 0 0 0 0 285,000
300 Cemetery
Laneway Repairs Phase II 35,000 35,000 Removed by SLT on Oct. 21 2021
Total 300 Cemetery 35,000 0 0 0 0 0 0 0 0 0 35,000
450 Parks
Bert Newman Park Gazebo 20,000 20,000 Removed on Sept 30 2021
Sports Fields Upgrade Program 15,000 15,000 Removed on Sept 30 2021
Dog Park 5,000 -5,000 0
Not sure what the details are, could all under
subcontractor expenseGeneral Trail Enhancements 25,000 25,000 Removed on Sept 30 2021
Signage Replacement Program 10,000 10,000 Removed on Sept 30 2021
Total 450 Parks 75,000 0 0 0 0 0 0 0 0 0 -5,000 70,000
460 Programs
Recreation Minor Capital 5,000 -5,000 0
Not sure what the details are, could all under
subcontractor expenseTotal 460 Programs 5,000 0 0 0 0 0 0 0 0 -5,000 0
465 Facilities
Security & Access Control Systems 30,000 30,000 Removed on Sept 30 2021
Grounds - General 10,000 -10,000 0
Not sure what the details are, could all under
subcontractor expenseStation Arts - Security Camera & Access Upgrades 10,000 10,000 Removed on Sept 30 2021
TCC Wayfinding Signage 13,000 13,000 Removed on Sept 30 2021
Roof Repairs - General 80,000 80,000 Removed on Sept 30 2021
Arenas Miscellaneous Upgrades/Replacement 40,000 40,000 Removed on Sept 30 2021
LLWP Building Replacement (Grant 25% share)250,000 250,000 Removed by SLT on Oct. 21 2021
Lion's Den Arena Window Inserts 50,000 50,000 Removed by SLT on Oct. 21 2021
Total 465 Facilities 483,000 0 0 0 0 0 0 0 0 0 -10,000 473,000
475 Museum
Front Reception AODA Redesign 30,000 30,000 Removed on Sept 30 2021
Storage upgrade phase 2 22,000 22,000 Removed by SLT on Oct. 21 2021
Scanner & Tablets for Booking 2,000 -2,000 0
Removed by SLT on Oct. 21 2021
Total 475 Museum 54,000 0 0 0 0 0 0 0 0 0 -2,000 52,000
505 Economic Development
Mall Parking Lot Enhancement 50,000 -50,000 0 Removed by SLT on Oct. 21 2021
Total 505 Economic Development 50,000 0 0 0 0 0 0 0 -50,000 0 0
Total 1,534,700 0 0 -204,000 -35,000 -118,100 26,320 0 -50,000 -76,000 -58,500 1,019,420
4
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Capital Budget overview
The following is the 2021 approved project listing in progress.
Page 227 of 234
Page 228 of 234
PRINCIPAL BALANCES O/S AT DECEMBER 31 - TAX SUPPORTED
TERM 2020 2021 2022
PRINCIPAL PRINCIPAL PRINCIPAL
3179 Elliot Fairbairn Centre 25 170,160.84 154,696.40 139,231.96
3179 Superbuild Project 25 87,970.88 79,968.80 71,966.72
3179 Arena HVAC 25 302,389.56 273,588.84 244,788.12
3179 Golf Course 25 189,010.44 171,011.16 153,011.88
3166 Glendale/Glenridge/Poplar 20 3,003.92 2,504.20 2,004.48
3166 Glendale/Glenridge/Winona 20 48,001.12 40,001.20 32,001.28
3166 Glendale/Allen 20 22,498.74 18,748.65 14,998.56
3166 Elgin 20 4,319.02 3,596.95 2,874.88
3166 Lisgar 20 16,290.72 13,578.20 10,865.68
3166 Dereham 20 5,174.52 4,312.70 3,450.88
3166 Tanager 20 4,413.54 3,676.65 2,939.76
3166 Townline 20 23,348.42 19,456.45 15,564.48
OIPC Delevan Road Work 30 40,290.00 37,920.00 35,550.00
OIPC Roads Resurfacing 30 42,500.00 40,000.00 37,500.00
OIPC Edgewood Drive 30 58,780.22 55,322.56 51,864.90
OIPC Venision East 30 10,551.22 9,930.56 9,309.90
OIPC Quarterline South 30 104,833.36 98,666.68 92,500.00
OIPC Concession St. Bridge 30 113,333.36 106,666.68 100,000.00
OIPC Glendale Poplar 30 30,222.12 28,444.36 26,666.60
OIPC GPS Equipment 20 7,192.50 6,165.00 5,137.50
OIPC Airport Hanger Taxiway 20 17,500.00 15,000.00 12,500.00
OIPC Airport Lighting 20 3,150.00 2,700.00 2,250.00
OIPC Airport Taxiway 20 8,281.00 7,098.00 5,915.00
OIPC Arena Floor 25 182,190.24 167,007.72 151,825.20
OIPC Tennis Courts 25 46,080.00 42,240.00 38,400.00
OIPC CCC Lobby Floor 25 7,699.20 7,057.60 6,416.00
OIPC CSC-HVAC 20 14,400.00 12,600.00 10,800.00
OIPC Maple Lane 30 209,715.96 198,065.04 186,414.12
OIPC Linkoln Street 30 106,546.88 100,627.62 94,708.36
OIPC Quaterline 30 243,789.68 230,245.82 216,701.96
OIPC 350 HP Truck Rep # 111 20 47,693.50 42,082.50 36,471.50
OIPC Quaterline Railway Track 30 355,835.63 336,601.25 317,366.87
OIPC Misc Street Paving 30 234,333.41 221,666.75 209,000.09
OIPC Works Building Drain 30 18,500.00 17,500.00 16,500.00
OIPC Trail Development 30 376,983.21 356,605.75 336,228.29
OIPC William to Beech Blvd 30 161,993.67 153,704.21 145,414.75
OIPC Downtown Parking-Epple 30 132,977.56 126,140.28 119,303.00
OIPC Hydro Hybrid Bucket Truck 15 89,192.70 69,372.10 49,551.50
OIPC Lisgar & 4th 30 260,000.00 247,000.00 234,000.00
Fire Truck 15 256,399.44 213,666.20 170,932.96
Arena-10 755,911.65 512,421.93 260,650.04
Rural Broadband 10 67,249.99 45,615.89 23,245.92
Fleet - Replace #075 10 117,588.00 94,110.00 70,632.00
Fleet - Replace #040 10 16,456.00 13,145.00 9,834.00
Fleet - Replace #046 10 16,456.00 13,145.00 9,834.00
TCC - Roof- Senior Centre/Auditorium 10 77,500.00 62,000.00 46,500.00
EFC Roof 10 30,000.00 24,000.00 18,000.00
Fire Comm - Dispatch 5 7,152.78 0.00
Trottier Stage 3 20 320,000.00 300,000.00 280,000.00
Replaces 1995 Freightliner FL70 (#072)15 159,866.64 145,333.30 130,799.96
Fire Comm - Dispatching equipment 5 5,980.59 0.00
Fleet - Replace #062 10 182,000.00 156,000.00 130,000.00
Riverview Stage 1 20 82,705.00 77,840.00 72,975.00
Fire Pumper Truck # 070 15 398,000.02 364,833.36 331,666.70
Sidewalk Machine, replaces #083 10 105,000.00 90,000.00 75,000.00
55HP Tractor Service Expansion #089 15 39,999.98 36,666.64 33,333.30
Gas detection and Air monitoring 10 18,200.00 15,600.00 13,000.00
Carroll Trail 10 52,500.00 45,000.00 37,500.00
Roof Repairs at TCC 15 134,000.02 122,833.36 111,666.70
LED lights on Ice pads at TCC 20 76,500.00 72,000.00 67,500.00
Design Energy Conservation at TCC 20 36,550.00 34,400.00 32,250.00
Page 229 of 234
PRINCIPAL BALANCES O/S AT DECEMBER 31 - TAX SUPPORTED
TERM 2020 2021 2022
PRINCIPAL PRINCIPAL PRINCIPAL
Broadway&Glendale St interesction- Pedestrian Crossing 10 32,000.00 28,000.00 24,000.00
Snowplow Truck Rep #064 10 220,000.00 192,500.00 165,000.00
Broadway&Brock St intersection- Accessible Upgrade 20 54,000.00 51,000.00 48,000.00
Storm Channel Outlet Dranage 4 60,179.56 30,663.43 0.00
Aerial Fire Truck 20 851,000.00 805,000.00 759,000.00
Roads- Lawrie/Jane & Ried St 25 326,400.00 312,800.00 299,200.00
Roads- Bradbun stage 2 of 2 25 470,400.00 450,800.00 431,200.00
Replacement of a F350 Truck with and aluminum dump body 10 73,500 66,150.00 58,800.00
Installing municipal infrastructure/services to three privately owned lots which will be fully recovered.5 115,000 92,000.00 69,000.00
Self contained breathing apparatus - Fire 10 150,000.00 135,000.00 120,000.00
widening of the intersection to accommodate a left turn lane into a
potential new industrial park 20 82,373.00 78,254.36 74,135.72
Van Norman Innovation Park - Phase 2 25 900,000.00 864,000.00 828,000.00
Overhead Door Repairs 20 30,000.00 28,500.00 27,000.00
Total Tax Supported Debt before new debt 10,122,015.81 9,094,849.15 8,070,650.52
New Debt Proceeds
New Debt 7400 Plow/wing Truck Rpl# 61 10 138,113.00 124,301.70
New Debt Replace Parks Unit # 88 10 93,314.00 83,982.60
New Debt New Cemetery Unit 10 62,811.00 50,248.80
New Debt Replace Buidling unit #39 5 36,610.00 29,288.00
New Debt TFRS Radio Communication Towers Equipment 15 38,397.00 35,837.20
New Debt Replace Cemetery Unit# 87 10 0.00 156,608.45
New Debt New RCP Mini Cargo Van 32,105.70
New Debt Elliot Fairbairn Roof 20 182,426.00 173,304.70
Total New Tax supported Debt 0.00 551,671.00 685,677.15
Committed debt but not issued
Replace #61 7400 plow/wing Truck 160,000.00 0.00
Indoor Pool Asset Renewal 735,000.00 735,000.00
Rpl#60 335 Snowplow Truck 90,000.00 90,000.00
Replace Fire Unit #37 88,000.00 88,000.00
Replace Fire Unit# 38 50,000.00 50,000.00
Replace Cemetery Unit# 87 115,000.00 0.00
New RCP Mini Cargo Van 40,000.00 0.00
Asset Management -Facilities Analysis 70,000.00 70,000.00
160,000.00 1,188,000.00 1,033,000.00
Request for 2022 1,416,000
Total Tax Supported Debt Outstanding 10,282,015.81 12,250,520.15 11,205,327.67
Page 230 of 234
PRINCIPAL BALANCES O/S AT DECEMBER 31 - User Pay / Operational Savings Debt
TERM 2020 2021 2022
PRINCIPAL PRINCIPAL PRINCIPAL
User Pay Debt
Service Truck Rep#044 - Water Dept 10 137,713.60 120,499.40 103,285.20
Waterpark renos 10 80,000.00 70,000.00 60,000.00
LED Streetlights Conversion - BIA 10 92,000.00 80,500.00 69,000.00
Fire Comm - Dispatching equipment- Hanover 5 15,840.00 10,560.00 5,280.00
Fire Comm - Dispatching equipment- Ripley's 5 17,293.80 11,529.20 5,764.60
Fire Comm Console 10 74,800.00 65,450.00 56,100.00
Fire Comm - Dispatching equipment- South Huron 5 30,074.80 22,549.60 15,024.40
Fleet -Replace Caravan with Dodge Ram 5 28,000.00 21,000.00 14,000.00
Hydro Service truck 10 58,500.00 52,000.00 45,500.00
Hydro Cable truck 15 347,900.00 324,706.66 301,513.32
New Columbaria 25 36,000.00 34,560.00 33,120.00
Off road equipment 420D backhoe 10 130,000 117,000.00 104,000.00
light duty cable trailer 5 10,000 9,333.34 8,666.68
light duty utility van 5 40,000 32,000.00 24,000.00
medium duty 1-ton with aluminum dump body truck 10 37,500 33,750.00 30,000.00
Fire dispatch radio console 10 38,000.00 34,200.00 30,400.00
New Debt Replace Hydro unit # 65 5 0.00 48,677.00 38,941.60
New Debt Fire Communication Customers 5 0.00 55,169.00 44,135.20
New Debt Next Gen 911 5 0.00 95,000.00 76,000.00
New Debt Replace Water Unit #28 0.00 33,038.10
User pay debt Outstanding 1,173,622.20 1,238,484.20 1,097,769.10
Committed User pay debt but not issued
Construction Financing - Hwy # 3 Clearview Drive Extension 1,650,000.00 1,650,000.00 1,650,000.00
Constructing Financing - Hwy # 3 Business Park SWM Facility 438,000.00 438,000.00 438,000.00
Indoor Pool Asset Renewal 0.00 315,000.00 315,000.00
Replace Water Unit #28 0.00 35,000.00 0.00
2,088,000.00 2,438,000.00 2,403,000.00
Request for 2022 0.00
Total User pay debt Outstanding 3,261,622.20 3,676,484.20 3,500,769.10
LED Streetlights Conversion - Town - Construction Financing 10 1,275,000.00 1,125,000.00 975,000.00
TCC Retrofit - Cogen 20 1,876,500.00 1,772,250.00 1,668,000.00
Bay lights conversion to LED 10 32,000.00 28,000.00 24,000.00
DHW System replacement 10 85,500.00 76,000.00 66,500.00
Lighting conversion to LED in the work bays at the CSC 10 40,000.00 36,000.00 32,000.00
Committed Operational Savings debt but not issued
Total Operational Savings Debt Outstanding 3,309,000.00 3,037,250.00 2,765,500.00
Page 231 of 234
2021 Sub-Total Total 2022 Sub-Total Total
Budget Budget
REVENUES
Operating $24,202,000 $25,274,700
Capital 6,037,600 6,037,600 6,037,600 7,955,200 7,955,200 7,955,200
LESS:
Transfer from other funds 1,031,100 1,449,600
Proceeds on debenture issue 997,000 1,416,000
Proceeds on user pay debtenture issue 180,000 0
TOTAL REVENUE 28,031,500 28,031,500 -28,031,500 30,364,300 30,364,300 -30,364,300
EXPENSES
Operating 24,125,040 25,414,754
Non-Tangible Capital 96,100 74,000
Capital 8,060,000 7,881,200
LESS:
Transfer to other funds 437,300 302,600
Capital Expenses 8,060,000 8,060,000 8,060,000 7,881,200 7,881,200 7,881,200
Debt Principal payments 1,398,100 1,513,104
TOTAL EXPENSES 22,385,740 22,385,740 22,385,740 23,673,050 23,673,050 23,673,050
ANNUAL SURPLUS: before exclusions 50,417,240 5,645,760 -5,645,760 54,037,350 6,691,250 -6,691,250
EXCLUSIONS:
Amortization of TCA 2,780,317 3,078,064
Post Employment Benefits
Solid Waste Landfill Closure and Post-Closures
TOTAL EXCLUSIONS 2,780,317 3,078,064
ANNUAL SURPLUS: after exclusions 50,417,240 50,417,240 2,865,443 54,037,350 54,037,350 3,613,186
Page 232 of 234
1
Municipal Act, 2001
Loi de 2001 sur les municipalités
ONTARIO REGULATION 284/09
BUDGET MATTERS — EXPENSES
Consolidation Period: From July 31, 2009 to the e-Laws currency date.
No amendments.
This Regulation is made in English only.
Exclusion
1. In preparing the budget for a year, a municipality or local board may exclude from the estimated expenses described in
paragraph 3 of subsection 289 (2) and in paragraph 3 of subsection 290 (2) of the Act all or a portion of the following:
1. Amortization expenses.
2. Post-employment benefits expenses.
3. Solid waste landfill closure and post-closure expenses. O. Reg. 284/09, s. 1.
Report
2. (1) For 2011 and subsequent years, the municipality or local board shall, before adopting a budget for the year that
excludes any of the expenses listed in section 1,
(a) prepare a report about the excluded expenses; and
(b) adopt the report by resolution. O. Reg. 284/09, s. 2 (1).
(2) If a municipality or local board plans to adopt or has adopted a budget for 2010 that excludes any of the expenses listed
in section 1, the municipality or local board shall, within 60 days after receiving its audited financial statements for 2009,
(a) prepare a report about the excluded expenses; and
(b) adopt the report by resolution. O. Reg. 284/09, s. 2 (2).
Contents
3. A report under section 2 shall contain at least the following:
1. An estimate of the change in the accumulated surplus of the municipality or local board to the end of the year resulting
from the exclusion of any of the expenses listed in section 1.
2. An analysis of the estimated impact of the exclusion of any of the expenses listed in section 1 on the future tangible
capital asset funding requirements of the municipality or local board. O. Reg. 284/09, s. 3.
Review
4. The Ministry of Municipal Affairs and Housing shall initiate a review of this Regulation on or before December 31,
2012. O. Reg. 284/09, s. 4.
5. OMITTED (PROVIDES FOR COMING INTO FORCE OF PROVISIONS OF THIS REGULATION). O. Reg. 284/09, s. 5.
Page 233 of 234
THE CORPORATION OF THE TOWN OF TILLSONBURG
BY-LAW 2021-120
A BY-LAW to confirm the proceedings of Council at its meeting held on
November 29, 2021.
WHEREAS Section 5 (1) of the Municipal Act, 2001, as amended, provides that the
powers of a municipal corporation shall be exercised by its council;
AND WHEREAS Section 5 (3) of the Municipal Act, 2001, as amended, provides that
municipal powers shall be exercised by by-law;
AND WHEREAS it is deemed expedient that the proceedings of the Council of the
Town of Tillsonburg at this meeting be confirmed and adopted by by-law;
BE IT THEREFORE ENACTED by the Council of the Corporation of the Town of
Tillsonburg as follows:
1. All actions of the Council of The Corporation of the Town of Tillsonburg at its
meeting held on November 29, 2021, with respect to every report, motion, by-law,
or other action passed and taken by the Council, including the exercise of natural
person powers, are hereby adopted, ratified and confirmed as if all such
proceedings were expressly embodied in this or a separate by-law.
2. The Mayor and Clerk are authorized and directed to do all the things necessary to
give effect to the action of the Council of The Corporation of the Town of Tillsonburg
referred to in the preceding section.
3. The Mayor and the Clerk are authorized and directed to execute all documents
necessary in that behalf and to affix thereto the seal of The Corporation of the Town
of Tillsonburg.
4. That this By-Law shall come into force and take effect on the date it is passed.
READ A FIRST AND SECOND TIME THIS 29th DAY OF NOVEMBER, 2021.
READ A THIRD AND FINAL TIME AND PASSED THIS 29th DAY OF NOVEMBER,
2021.
________________________________
MAYOR – Stephen Molnar
_______________________________
CLERK – Michelle Smibert
Page 234 of 234